FRN BDS
515237.05000500 is part of Antalis FRN Bonds which are bonds with a floating rate, issued by Antalis International, a European paper distribution company. They have a tenor of 7 years, and the coupon rate is reset every 6 months. The domestic benchmark for this bond is the 6-month EURIBOR rate. The bond is issued in the Euro currency, and the maturity date is March 10th, 2027. The coupon rate is based on 3.29% as of December 31, 2020. Interest is paid semi-annually, and the bond has a par value of 500.000 Euros, as well as a slightly higher issue price of €515,237.05000500. The issuer also reserves the right to redeem the bonds before the maturity date at any time, by giving prior notice to investors.