Liberierung
29.06.2021
Volume
CHF 100 Mio.
Repayment
29.06.2026
Interest
0.3% p. a. payable annually on 29.06.
ISISN
1111392994
Green Bond Framework
Second Party Opinion (SPO) / ISS ESG
17.04.2015
17.04.2023
1.125% p. a. payable annually on 17.04.
ISIN
CH0275776430