Designation
FCTC ENERGIES 7% II / 2021-2023
Nature of the Securities
Obligations dématérialisées
Symbol
FCTCECINC.O5
ISIN
CI0000004990
Gross Annual Interest Rate
7,00%
Secondary market
Titres admis aux opérations du DC/BR ( marché de gré à gré)
Indicative loan amount (for reference)
30000000000
Effective loan amount
30000000000
Nominal Value
100000000
Number of Securities
300
Issue Price
100000000
Effective Date
27-déc.-21
Net Annual Interest Rate
5,95%
Gross coupon amount
7000000
Net Coupon Amount
5950000
Payment terms
Trimestrielle
Duration
24 mois
Repayment method
Amortissement annuel
Redemption Price
100000000