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Elior 3.75% 07/26
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EUR
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Bond Information
Description
Current Coupon
3.75%
Maturity Date
15/07/2026
Credit Risk
High
Currency
EUR
Seniority
Senior Unsecured
Coupon Type
Fixed-Fixed (For Life)
Country
FRA
Industry Type
Commercial Services
Callable
Yes
Perpetual
No
Guarantor
None
RatingsB+
Issuer Rating1
B+
Last Rating Action
New Rating on 2024-10-23
Issuer Rating Watch/Outlook
Rating Outlook Positive
Issue Rating2
B+
Last Rating Action
New Rating on 2024-10-23
Yield Analysis
Yield3
3.71
Yield to Call
17.65
Z Spread (bps)
140.7
Duration
1.26
Next Coupon Date
15/07/2025
Accrued Interest
0.704
Next Call Date
16/04/2025
Next Call Price
100.94
Liquidity
Very Liquid
Next Reset Date
Not Applicable
Reset Index (Current Level)
Not Applicable
Spread
Not Applicable
Reset Index
Not Applicable
Additional Information
ISIN Code
XS2360381730
Registration Type
Regulation S
Amount Issued
550,000,000
Amount Outstanding
159,482,000
Issue Date
08/07/2021
Issue Price
100
Coupon Frequency
2
Day Count
ACT/ACT
Redemption Value
100
Min. Denomination
100,000
Footnotes:
1 Issuer rating is the Long-Term Issuer Default Rating (IDR). Ratings data provided by Fitch Ratings.
2 Issue rating is the Long-Term Issue Rating. Ratings data provided by Fitch Ratings.
3 Yield displays YTM. Exceptions are perpetuals, which will display "Not Applicable", and fix-to-float bonds, which will assume constant rate of coupon projection.