Below you will find information from the register publication of inside information. The information has been provided by the organisation.
- Registration date 23 mrt 2018 - 15:00
- Statutory name OCI N.V.
- Title OCI N.V. Announces Optional Redemption of its €339 Million 3.875% Convertible Bonds (ISIN: XS0974154550)
|201803230000000009_OCI N V Announces Optional Redemption Notice FINAL.pdf|
Date last update: 21 April 2018