Eurobond (coupon 3.875%, due April 26th 2018, ISIN XS0922370951)
Titolo | Data | hf:tax:anno |
---|---|---|
Confirmation of redemption of the Notes 21122017 | 21 December 2017 11:00 | |
Notice to Noteholders call amount for reception of the Notes 15122017 | 15 December 2017 11:00 | |
Full early redemption of the bond 15112017 | 15 November 2017 11:00 | |
Notice to Noteholders redemption of the Notes 15112017 | 15 November 2017 11:00 | |
Loan agreement authorization 27092017 | 27 September 2017 10:00 | |
Prospectus | 23 April 2013 18:39 | |
Bond Issuance 18042013 | 18 April 2013 10:00 | |
Fitch rating assigns EI Towers a BBB rating Stable Outlook 10042013 | 10 April 2013 10:00 | |
EI Towers announces its intention to issue a bond 21032013 | 21 March 2013 11:00 |