Overview
Announcements

Fixed Income Indices | Exchange offer | 18th September 2020

The Exchange offer took place on Friday, 18 September 2020 for the bonds listed below. The affected bonds will be replaced by the bonds they exchanged into.

Adjustments:

Name Coupon Maturity Index Amount Effective Date
TEVA PHARMACEUTICALS NE 7.125 31.01.2025 .SOLHYCTM/ .SOLHYCHB/ .SOLHYCST/ .SOLHYCPR/ .SOLHYCCA/ .MAXBUSHY/ .MAXUSHYB 1000000000 18.09.2020
TEVA PHARMACEUTICALS NE 7.125 31.01.2025 .MVEMAG/ .MVEMCD 1000000000 18.09.2020
TEVA PHARM FNC NL II 6 31.01.2025 .MVEMAG/ .MVEMCD/ .SOLEUHYCPR/ .SOLEUHYC/ .SOLE5BBE/ .SOLE5BBN/ .SOLEHYNO/ .SOLEHYDK/ .SOLEHYSE/ .SOLEUSHY/ .SOLEHYSRC 1000000000 18.09.2020

For more details on the index composition and the adjustment rules applicable to an index, please refer to the respective index detail page on this website.