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ISS Holding A/S has issued two types of High Yield Notes:

Pricing date: 8 May 2006
Issuer: ISS Holding A/S
Issue Amount: EUR 454 million
Maturity Date: 15 May 2016
Coupon: 8.875% (semi ann.)
Listing: Luxembourg
ISIN:

XS0253471964 (144A)

XS0253470644 (REGS)

Reuters: DK025347064=
Joint Bookrunners:   Citibank & Goldman Sachs International

On 3 July 2007, ISS Holding refinanced all of its EUR 850 million High Yield Notes.

Standard & Poor's assigned a single B senior unsecured debt rating to the bonds. 

>> Credit ratings



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