March 09, 2018 | Cbonds
March 07, 2018 Teva Pharmaceutical Industries issued international bonds (XS1789745137) with a 3.25% for EUR 700.0m maturing in 2022. Bonds were sold at a price of 100%. Bookrunner: Barclays, BNP Paribas, Citigroup, Credit Suisse, HSBC, Bank of America Merrill Lynch. Depository: Clearstream Banking S.A., Euroclear Bank.
|Status||Country of risk||Redemption (offer)||Volume||Emission Rating (M/S&P/F)|
Company: Teva Pharmaceutical Industries
|Full company name||Teva Pharmaceutical Industries Limited|
|Country of risk||Israel|
|Country of registration||Israel|