Outstanding Bonds

BCMPC-F

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Due Date:
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Offering Memorandum:

Inversiones CMPC
Empresas CMPC
CLF 7,000,000 - bullet
2009
March 24th, 2030
4.3% annual, compounded semiannually
4.55%
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BCMPC-G

Issuer:
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Offering Memorandum:

Inversiones CMPC
Empresas CMPC
CLF 5,000,000 - bullet
2014
April 21st, 2039
3.5% annual, compounded semiannually
3.7%
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BCMPC-H

Issuer:
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Offering Memorandum:

Inversiones CMPC
Empresas CMPC
CLF 3,000,000 - amortizing
2018
July 3rd, 2025
1.5% annual, compounded semiannually
1.77%
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BCMPC-M

Issuer:
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Due Date:
Interest Rate:
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Offering Memorandum:

Inversiones CMPC
Empresas CMPC
CLF 5,000,000 - bullet
2018
July 3rd, 2028
2.2% annual, compounded semiannually
2.55%
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BCMPC-O

Issuer:
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Offering Memorandum:
Green Bond Framework:
Second-Party Opinion:

Inversiones CMPC
Empresas CMPC
CLF 2,500,000 - bullet
2019
June 1st, 2029
1.7% annual, compounded semiannually
1.22%
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Download file
Download file

CMPC 144A-S Bond / 2012

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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%

CMPC 144A-S Bond / 2013

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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%

CMPC 144A-S Bond / 2014

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Inversiones CMPC
Empresas CMPC
USD 500,000,000, bullet
2014
September 15th, 2024
4.75% annual, compounded semiannually
4.786%

CMPC 144A-S Bond / 2017

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Inversiones CMPC
Empresas CMPC
USD 500,000,000, bullet
2017
April 4th, 2027
4.375% annual, compounded semiannually
4.42%

CMPC 144A-S Bond / 2020

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Inversiones CMPC
Empresas CMPC
USD 500,000,000, bullet
2020
January 13th, 2030
3.85% annual, compounded semiannually
3.87%

VPTP1BC1A

Issuer:
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Interest Rate:
Price:
Green Bond Framework:
Second-Party Opinion:

Productos Tissue del Perú S.A.C
PEN 100,000,000
October 23, 2018
October 23, 2024
6.625%
100%
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Download file