Building for every future
Icade is an integrated real estate company, operating both as an investor and as a developer

Bond Issue

Green Bond

Issue date

Due date 

Currency

Oustanding nominal

coupon

ISIN code

Prospectus

11/09/2017

13/09/2027

EUR

600 000 000

1,50%

FR0013281755

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Euro bonds

Icade is issuer on the euro bond market, a source of diversification.

Issue date

Due date 

Currency

Oustanding nominal

coupon

ISIN code

Prospectus

10/11/2016

17/11/2025

EUR

500 000 000

1.125%

FR0013218393

08/06/2016

10/06/2026

EUR

750 000 000

1.75%

FR0013181906

10/09/2015

14/09/2022

 EUR

500 000 000

1.875%

FR0012942647

 14/04/2014

 16/04/2021

 EUR

500 000 000 

2.25% 

FR0011847714

26/09/2013

30/01/2019

EUR

500 000 000

2.25%

FR0011577170

26/09/2013

29/09/2023

EUR

300 000 000

3.375%

FR0011577188

Convertible bond

Further to the completion of the merger of Silic into Icade at midnight on December 31, 2013, Icade will assume all the obligations of Silic vis-à-vis the holders of Silic bonds redeemable in cash and/or new shares and/or existing share (ORNANEs). The rights of the holders of ORNANEs reimbursement will be carried on shares of Icade according to the exchange ratio adopted further to the merger of 1.25.

Issue date

Due date

Currency

Oustanding nominal

Coupon

ISIN code

Prospectus

16/11/2010

01/01/2017

EUR

44 845 173,18

2.50 %

FR0010961128