Securities Number / ISIN |
Tranche 1: 125345606 / CH1253456060 Tranche 2: 125345607 / CH1253456078 Tranche 3: 125345608 / CH1253456086 |
Company and issuer's office |
Sika AG, Zugerstrasse 50, CH-6341 Baar |
Instrument rating |
Standard & Poor's A- |
Notional amount |
Tranche 1: CHF 200 million Tranche 2: CHF 200 million Tranche 3: CHF 250 million |
Format |
Fixed-rate bonds |
Coupons |
Tranche 1: 2.125% p.a. Tranche 2: 2.250% p.a. Tranche 3: 2.250% p.a. |
Interest date |
Tranche 1: Payable annually in arrears on 11 October Tranche 2/3: Payable annually in arrears on 13 April |
Price of issue (before commissions and expenses) |
Tranche 1: 100.091% Tranche 2: 100.338% Tranche 3: 100.111% |
Placement price |
Placement price according to offer and demand |
Pricing date |
6 March 2023 |
Issue date |
13 April 2023 |
Tenor/Duration |
Tranche 1: 1.5 years, fixed Tranche 2: 3 years, fixed Tranche 3: 6 years, fixed |
Maturity date: |
Tranche 1: 11 October 2024 Tranche 2: 13 April 2026 Tranche 3: 13 April 2029 |
Standard units |
CHF 5'000 nominal, or a multiple thereof |
Listing venue |
SIX Swiss Exchange |
Governing law |
Swiss law |
Place of jurisdiction |
Zurich |
Covenants |
Pari Passu, Negative Pledge, Cross Default, Change of Control |
Form |
The Bonds will be issued in uncertificated securities in accordance with Art. 973c of Swiss Code of Obligations |
Selling restrictions |
In particular U.S.A., U.S. persons, European Economic Area and United Kingdom |
Joint Lead Managers |
UBS Investment Bank, Zürcher Kantonalbank |