Issuer / Guarantor | Qiagen NV (USD) |
---|---|
Size | USD 750mn |
Type | Convertible |
Leads | BNP Paribas, BoA, Goldman Sachs |
Maturity | 04 Sep 2032 (7 years) |
Coupon | 2% (1.75 - 2.25%) |
Premium | 40% (40 - 45%) |
Calls | @ 100% from Sep 2030 (5.1 yrs); 150% trigger |
Puts | 5yrs @ 100% |
Div protection | Ratio adjustment (Full) |
T/o protection | c/t ratchet |
CoCo | 150% to Mar 2032 (6.5 yrs) |
Announced | 28 Aug 2025 |