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Teva Pharmaceutical Finance Netherlands II BV bond | 4.38% 2030-05-09 EUR | XS2406607171

Change % : ▼-0.475%

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Overview

pricing as of 2026-03-03
3.74
4.375
102.433
2030-05-09
EUR
103.306/97.357

Analytics

3.750
3.820
15.498
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Bond Information

Issue Type
XXXX
Country
Israel
Industry
XXXX
Region
XXXX
Maturity Date
2030-05-09
Par Value
100000
Callable
XXXX
Next Call Date
XXXX
Call Type
XXXX
Call Price (%)
XXXX
Series
XXXX
Class
XXXX
Maturity Structure
XXXX
Amount Outstanding (mil)
1500.00

Coupon Information

Coupon
4.375
Coupon Type
XXXX
Coupon Frequency
XXXX
First Coupon Date
XXXX
Last Coupon Date
XXXX

Risk Information

Sinking Fund
XXXX
Security
XXXX
Subordination
XXXX
Debt Type
XXXX

Issuance Information

Issue Date
XXXX
Dated Date
XXXX
Issue Size (mil)
1500.000
Min. Piece
XXXX
Min. Increment
XXXX

About the TEVA 4.38% 2030-05-09 EUR bond (XS2406607171)

This Teva Pharmaceutical Finance Netherlands II B.V. corporate note has a X.X % fixed rate coupon paid on a XXXX basis. It was issued on MAR 12, 2000 with an issue size of XXX million EUR and matures on DEC 9, 2000 with a last coupon date of FEB 28, 2020.

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About the issuer Teva Pharmaceutical Finance Netherlands II B.V.

Teva Pharmaceutical Finance Netherlands II B.V., established in the Netherlands, serves as a finance subsidiary of Teva Pharmaceutical Industries Ltd., headquartered in Israel. The company primarily focuses on raising funds through the issuance of bonds to support the broader financing needs of its parent organization and facilitate operational growth.