Issued bonds
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.
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