Financement

 

 

Programme d'émission

Billets de Trésorerie

Programme de Billets de Trésorerie
Emetteur Kering Finance SNC
Montant 4 000 M€
Agent Natixis
Maturités Court terme (jusqu'à un an)
Encours au 30/06/2016 1 110,5 M€
Rating Standard & Poor's a attribué au crédit court terme de Kering Finance SNC la note "A2"

Informations complémentaires:
Documentation du programme de Billet de trésorerie
Présentation financière juillet 2017

EMTN

Kering - EMTN Programme - Base Prospectus - DISCLAIMER

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Crédit Syndiqué

Emprunteurs Kering SA & Kering Finance SNC
Montant 2,5 milliards d'euros
Maturité 27 juin 2019
Agent du Crédit Syndiqué CA-CIB
Arrangeurs

BNP PARIBAS, CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK, NATIXIS, SOCIÉTÉ GÉNÉRALE CORPORATE & INVESTMENT BANKING, THE BANK OF TOKYO – MITSUBISHI UFJ, LTD., COMMERZBANK, HSBC, ING, THE ROYAL BANK OF SCOTLAND PLC., UNICREDIT

 

Encours obligataires

Montant ISIN Coupon Date Emission Echéance
.
Emprunts obligataires émis par Kering (en M€)
500 FR 00 13 165 677 1,25% 10/05/2016 10/05/2026
500 FR 00 12 648 244 0,875% 27/03/2015 28/03/2022
500 FR 00 12 199 008 1,375% 01/10/2014 01/10/2021
500 FR 00 11 832 039 2,75% 08/04/2014 08/04/2024
500 FR 00 11 584 929 1,875% 08/10/2013 08/10/2018
500 FR 00 11 535 764 2,50% 15/07/2013 15/07/2020
200 FR 00 10 784 082 6,50% 06/11/2009 06/11/2017
500 FR 00 11 236 983 3,125% 23/04/2012 23/04/2019
50 FR 00 12 669 257 1,60% 16/04/2015 16/04/2035

 

Emprunts obligataires émis par Kering (en M USD)
Montant ISIN Coupon Date Emission Echéance
150 FR 00 12 598 837 Libor USD 3 mois +0,73% 09/03/2015 09/03/2020
150 FR 00 12 786 041 2,89% 09/06/2015 09/06/2021