Specialist Debt Security Details

Harbour Facilities Designated Activity Company

Description Series 1 US$300,000,000 Profit Participating Notes due 30 June 2072
Series Series 1
Coupon Floating 
Coupon Frequency
Maturity Date 30 Jun 2072
Issue Date 21 Dec 2022
Currency USD
Listed Amount Outstanding 300,000,000.00
Minimum Denomination 100,000.00
1st Interest Payment Date
Listing Type Primary Listing on CSX
ISIN IE000AVNN226