Bond Data: XS2948434266 | PRYSMIAN SPA 3.875% 2031
| Pricing | |
|---|---|
| Date | 2025-11-03 | 
| Duration | 5.34 | 
| Price | 102.96 | 
| Yield to maturity | 3.33 | 
| Reference | |
|---|---|
| Asset class | Medium-term note | 
| Country | Italy | 
| Coupon | 3.875 | 
| Currency | EUR | 
| FIGI | BBG01QXJ4P12 | 
| Interest type | Fixed rate | 
| Callable | Yes | 
| Outstanding | Yes | 
| Puttable | Yes | 
| ISIN | XS2948434266 | 
| Issued amount | 650,000,000.00 | 
| Issuer name | PRYSMIAN SPA | 
| Issuer type | Corporate | 
| Maturity date | 2031-11-28 | 
| Name | PRYSMIAN SPA 3.875% 2031 | 
| Rank | Senior unsecured | 
| Ticker | PRYIM 3.875 11/28/31 EMTN | 
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