Corporate Debt security Details

Finastra Europe Limited

Description €790,000,000 Loan Notes due 2032
Series
Coupon EURIBOR 5
Coupon Frequency Irregular
Maturity Date 15 Sep 2032
Issue Date 16 Oct 2025
Currency EUR
Listed Amount Outstanding 790,000,000.00
Minimum Denomination 0.01
1st Interest Payment Date 15 Dec 2025
Listing Type Primary Listing on CSX