Securities Number / ISIN |
22.476.151 / CH0224761517 |
Company and issuer's office
|
Sika AG, Zugerstrasse 50, CH-6341 Baar |
Coupons |
1.875% p.a., payable annually at November 14, for the first time on November 14, 2013 |
Price of issue
|
The syndicate banks have clearly confirmed the bond at the price of 100.452% (minus commissions) |
Placement price
|
Placement price according to offer and demand
|
Duration |
10 years, fixed |
Payment in full
|
November 14, 2013
|
Redemption |
November 14, 2023, in par
|
Standard units |
CHF 5'000 nominal, or a multiple thereof |
Listing |
Listing applied for SWX Swiss Exchange, main segment |
Rating |
Longterm liabilities of Sika AG: Standard & Poor's A- |
Lead bank
|
Credit Suisse AG / UBS Investment Bank |