Sudzucker International Finance B.V.
Chamber of Commerce: Rotterdam 33255988
SUDZUCKER
Laurens Jzn. Costerstraat 12
VAT NL802763212B01
Telephone +31 186 627 831
3261 LH Oud-Beijerland The Netherlands
I NT ER N ATION AL FINAN CE
Bank NL23 DEUT 0265 4600 69 Swift DEUTNL2A
Siidzucker International Finance B.V.
EUR 700 million Undated Subordinated Fixed to Floating Rate Bond (ISIN: XS0222524372)Call Notice
Die Sudzucker International Finance B.V. (die
"Emittentin"), kundigt hiermit ihre Euro 700.000.000 Undated Subordinated Fixed to Floating Rate Bonds, ISIN XS0222524372 (die
"Schuldverschreibungen") gemag § 6
Absatz (5) und Absatz (6) in Verbindung mit 9 13 der Anleihebedingungen mit Wirkung zum 30. Juni 2025. Die Emittentin zahlt die Schuldverschreibungen am 30. Juni 2025 (der
"Riickzahlungstag") zu ihrem Nennbetrag
zurdck. Ferner zahlt die Emittentin an dem auf den Ruckzahlungstag fallenden Variablen Vergutungszahlungstag aufgelaufene Vergutungen fur den am Ruckzahlungstag (ausschlieglich) endenden Variablen Vergtitungszeitraum.
Sudzucker International Finance B.V. 28 May 2025
Sudzucker International Finance B.V. (the
"Issuer"), calls its Euro 700,000,000 Undated Subordinated Fixed to Floating Rate Bonds, ISIN XS0222524372 (the "Bonds") pursuant to
§ 6 paragraphs (5) and (6) in connection with
§ 13 of the Conditions of Issue for redemption effective 30 June 2025. The Issuer will redeem the Bonds at their principal amount on 30 June 2025 (the "Redemption Date"). Further, on the Floating Remuneration Payment falling on the Redemption Date (excluding) the Issuer will pay the accrued remuneration for the Floating Remuneration Period ending on the Redemption Date (excluding).
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Südzucker AG published this content on June 02, 2025, and is solely responsible for the information contained herein. Distributed via Public Technologies (PUBT), unedited and unaltered, on June 02, 2025 at 12:52 UTC.