Kyoto Resort Holdings Convertible Bond

ProduktnameA3GMDL - Compartment 245
KATEGORIELoan linked - Real Estate
compartment Number245
Issue Date13.11.2020
Maturity Date13.11.2023
CurrencyJPY
Denomination100,000,000
Issuance Price100.75
Underlying SecurityKyoto Resorts Holding Co., Ltd. Ordinary Shares
Minimum Trading Amount100,000,000
Principal Amount2,000,000,000
ListingNot applicable

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