Bonds

 Bond 2028Bond 2029Bond 2031Bond 2032
IssuerBrenntag Finance B.V.Brenntag Finance B.V.Brenntag Finance B.V.Brenntag Finance B.V.
ListingLuxembourg Stock ExchangeLuxembourg Stock ExchangeLuxembourg Stock ExchangeLuxembourg Stock Exchange
ISINXS2802928775XS2394063437XS3193854281XS2802928692
Aggregate principal amountEUR 500mEUR 500mEUR 600mEUR 500m
DenominationEUR 100,000EUR 100,000EUR 100,000EUR 100,000
Minimum transferable amountEUR 100,000EUR 100,000EUR 100,000EUR 100,000
Coupon3.750%0.500%3.375%3.875%
Coupon paymentAnnual: Apr. 24Annual: Oct. 06Annual: Oct. 02Annual: Apr. 24
MaturityApr. 24, 2028Oct. 06, 2029Oct. 02, 2031Apr. 24, 2032