Convertible bonds
Offering Circular
Summary of Terms and Conditions Conversion Price
Interest payment
Listing Information
Agents and Trustee
Notice to Bondholders Issuer | EURONAV | | | | Currency | USD | Issue amount | 150,000,000 | Issue date | 24/Sep/2009 | Maturity | 31/Jan/2015 | Coupon | 6.50% | Coupon payment | Semi-annually | Issue price | 100% | Conversion Premium | 25% | Initial Conversion Price | €16.2838 | Stock Exchange | Luxembourg | ISIN code | BE6000351286 |
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