Debt Information

Barry Callebaut Group - Debt information

Debt Information

Credit Rating

 

AGENCYLONG TERM RATINGOUTLOOK
MOODY'SBaa3Stable
S&PBBB-Stable

Bonds outstanding

 

 NOMINALCOUPONISSUEDMATURITYISIN CODE
CHF240 million1.80%May 17, 2024May, 2026CH1348614046
CHF225 million1.95%January 23, 2024January, 2028CH1314941423
EUR700 million4%June 14, 2024June, 2029BE6352800765
CHF270 million2.05%May 17, 2024May, 2030CH1348614053
CHF375 million2.30%January 23, 2024January, 2032CH1314941431
CHF220 million2.40%May 17, 2024May, 2034CH1348614061
CHF160 million1.80%January 21, 2025January, 2031CH1400064569
CHF140 million2.10%January 21, 2025January, 2035CH1400064577

Other main financing contracts

 

CONTRACTAMOUNTSIGNEDMATURITY
SchuldscheindarlehenEUR 467 millionFebruary 16, 20191.7 years*
SchuldscheindarlehenCHF 21 millionFebruary 16, 20192.0 years*
SchuldscheindarlehenEUR 377 millionJuly 28, 20202.5 years*
SchuldscheindarlehenCHF 20 millionJuly 28, 20200.9 years*
Syndicated Revolving Credit FacilityEUR 1'312.5 millionDecember 20, 2023October 2028
Syndicated Term Loan FacilityEUR 262.5 millionDecember 20, 2023December 2025
European Bank for Reconstruction and Development LoanEUR 52 millionOctober 5, 2022April 2030
Commercial Paper ProgramEUR 900 millionNovember 30, 2023Until further notice
Receivables Backed Securitisation ProgrammeEUR 600 millionOctober 18, 2023March 2025

*Remaining weighted average tenor as per end of January 2025

Liquidity profile

Diverse and robust liquidity profile with no outstanding amounts under the back-stop Revolving Credit Facility as per year end.

5-Year Overview

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