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TEVA PHARMACEUTICAL INDUSTRIES EUR 6.0YR CRP BB- FIXED RATE SYNDICATED EURO BOND MARKET PLACEMENT (XS3081797964)

Post Date: 22 May 2025
Teva Pharmaceutical Fin. NL 2 has priced a syndicated EUR denominated Euro market bond which matures in 2031. 

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Issuer Details
Issuer Teva Pharmaceutical Finance Netherlands II B.V.
LEI 549300HSQCIKJAOYIT23
Industry Pharmaceuticals
Country Netherlands
Issuer Description Teva Pharmaceutical Industries Ltd is an international pharmaceutical company headquartered in Petah Tikva, Israel. It specializes in generic and proprietary pharmaceuticals and active pharmaceutical ingredients. It is among the largest generic drug manufacturers in the world and one of the 20 largest pharmaceutical companies worldwide..
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Trade Details
Security Type Bond
Amount EUR [Login to see full details]
Total Amount including taps EUR [Login to see full details]
Total Amount Outstanding EUR [Login to see full details]
Total Order Book EUR [Login to see full details]
Structure Fixed Rate
Coupon [Login to see full details]
Price [Login to see full details]
Reoffer [Login to see full details]
It came at a spread of [Login to see full details] in the Euro bond market.
Term [Login to see full details]
Yield Notes [Login to see full details]
Trade Date [Login to see full details]
Settlement Date [Login to see full details]
Maturity Date [Login to see full details]

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A Euro bond is a bond or other type of negotiable debt instrument issued in the offshore international, also called eurobond, market. The ISIN of a Euro Market bond always starts with XS. It can be denominated in any freely tradeable currency.

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