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Investor Presentaiton

Debt market instruments. Convertible notes 2015/2020 Coupon Principal Amount Adjusted Conversion Price 3.5% € 167 million € 17.0732 Conversion Right 9.78 million shares Convertible notes 2018/2023 Coupon Principal Amount Initial Conversion Price Conversion Right 3.0% € 159.3 million € 13.0220 12.234 million shares (as at October 31, 2018) Issue Date 14 September 2015 Date of Maturity 30 September 2020 Issue Date Date of Maturity 20 September 2018 20 September 2023 Corporate bond (4.875% coupon, €250m principal amount, maturity 15 January 2021) with issue date 12 December 2013 redeemed early on October 30, 2017 101 SGL Carbon | Investor Relations Presentation
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