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Vestas Wind Systems Finance BV bond | 4.13% 2031-06-15 EUR | XS2725957042

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Overview

pricing as of 2026-08-13
3.66
4.125
102.027
2031-06-15
EUR
104.552/101.762

Analytics

4.302
4.459
20.883
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Bond Information

Issue Type
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Country
Netherlands
Industry
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Region
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Maturity Date
2031-06-15
Par Value
1000
Callable
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Next Call Date
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Call Type
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Call Price (%)
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Series
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Class
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Maturity Structure
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Amount Outstanding (mil)
500.00

Coupon Information

Coupon
4.125
Coupon Type
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Coupon Frequency
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First Coupon Date
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Last Coupon Date
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Risk Information

Sinking Fund
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Security
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Subordination
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Debt Type
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Issuance Information

Issue Date
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Dated Date
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Issue Size (mil)
500
Min. Piece
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Min. Increment
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About the VWSDC 4.13% 2031-06-15 EUR bond (XS2725957042)

This Vestas Wind Systems Finance B.V. corporate bond has a 4.13% fixed rate coupon paid on a Login basis. It was issued on MAR 12, 2000 with an issue size of 500.00 million EUR and matures on June 15, 2031 with a last coupon date of FEB 28, 2020.

More bonds from Vestas Wind Systems Finance B.V.

VWSDC 1.50% 2029-06-15 EUR

XS2449928543

Pays a 1.5% coupon and matures on June 15, 2029.

95.63 EUR▼ -0.01

VWSDC 2.00% 2034-06-15 EUR

XS2449929517

Pays a 2% coupon and matures on June 15, 2034.

87.49 EUR▼ -0.10

About the issuer Vestas Wind Systems Finance B.V.

Vestas Wind Systems Finance B.V., a subsidiary of Denmark-based Vestas Wind Systems A/S, was founded to support the financing needs of the global leader in sustainable energy solutions. The company specializes in providing financing services for wind energy projects, contributing to Vestas' mission to deliver high-performance and environmentally responsible wind turbines.