Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate: Green Bond Framework: Second-Party Opinion:
Inversiones CMPC Empresas CMPC UF 7,000,000 (Approximately USD250 mm) - Bullet 2022 September 15th, 2042 3.6% annual, compounded semiannually 3.54% Download file Download file
Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate: Offering Memorandum: Green Bond Framework: Second-Party Opinion: Green Finance Impact Report:
Inversiones CMPC Empresas CMPC CLF 2,500,000 - bullet 2019 June 1st, 2029 1.7% annual, compounded semiannually 1.22% Download file Download file Download file Download file
Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate: Offering Memorandum:
Inversiones CMPC Empresas CMPC CLF 5,000,000 - bullet 2018 July 3rd, 2028 2.2% annual, compounded semiannually 2.55% Download file
Inversiones CMPC Empresas CMPC CLF 3,000,000 - amortizing 2018 July 3rd, 2025 1.5% annual, compounded semiannually 1.77% Download file
Inversiones CMPC Empresas CMPC CLF 5,000,000 - bullet 2014 April 21st, 2039 3.5% annual, compounded semiannually 3.7% Download file
Inversiones CMPC Empresas CMPC CLF 7,000,000 - bullet 2009 March 24th, 2030 4.3% annual, compounded semiannually 4.55% Download file
Issuer: Guarrantor: Issue Amount: Issue Date: Due Date: Interest Rate: Issue Effective Rate: Framework: Second-Party Opinion:
Inversiones CMPC Empresas CMPCUSD 500,000,000 - Bullet February 21st, 2024February 26th, 2034 6,125%, compounded semi-annually 6,173% Download file Download file
Inversiones CMPC Empresas CMPC USD 500,000,000 - Bullet June 20th, 2023 June 23rd, 2033 6,125%, compounded semi-annually 6,127% Download file Download file
Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate: SLB Framework: Second-Party Opinion:
Inversiones CMPC Empresas CMPC USD 500,000,000 - bullet 2021 April 6th, 2031 3.0% annual, compounded semiannually 3.085% Download file Download file
Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate:
Inversiones CMPC Empresas CMPC USD 500,000,000, bullet 2020 January 13th, 2030 3.85% annual, compounded semiannually 3.87%
Issuer: Guarrantor: Issue Amount: Issue Year: Due Date: Interest Rate: Issue Effective Rate: Green Bond Report 2017: Green Bond Report 2018: Second Party Opinion:
Inversiones CMPC Empresas CMPC USD 500,000,000, bullet 2017 April 4th, 2027 4.375% annual, compounded semiannually 4.42% Download file Download file Download file
Inversiones CMPC Empresas CMPC USD 500,000,000, bullet 2014 September 15th, 2024 4.75% annual, compounded semiannually 4.786%
Inversiones CMPC, through its Cayman Island Agency Empresas CMPC USD 500,000,000, bullet 2013 May 15th, 2023 4.375% annual, compounded semiannually 4.469%
Inversiones CMPC, through its Cayman Island Agency Empresas CMPC USD 500,000,000, bullet 2012 April 25th, 2022 4.5% annual, compounded semiannually 4.638%
Issuer: Issue Amount: Issue Date: Due Date: Interest Rate: Price: Green Bond Framework: Second-Party Opinion: Peruvian Green Bond Report 2018:
Productos Tissue del Perú S.A.C PEN 100,000,000 October 23, 2018 October 23, 2024 6.625% 100% Download file Download file Download file
Issuer: Issue Amount: Issue Date: Due Date: Interest Rate: Framework: Second-Party Opinion: Offering Memorandum: Supplement:
Inversiones CMPC S.A. MXN 1.600.000.000 June 30th, 2023 June 18th, 2025 TIIE28 days + 80 bps - Floating Download file Download file Download file Download file Download file
Issuer: Issue Amount: Issue Date: Due Date: Interest Rate: Framework: Second-Party Opinion:Offering Memorandum: Supplement:
Inversiones CMPC S.A. MXN 1.600.000.000 June 30th, 2023 June 18th, 2032 10.62% - Fixed Download file Download file Download file Download file Download file