Firmenich archive

Investors

Merger related information

Firmenich completes Merger of Equals with DSM

09 May 2023

Final results of the exchange offer

01 May 2023

DSM-Firmenich first day of trading on Euronext Amsterdam       

18 April 2023

Exchange Offer declared unconditional

17 April 2023

(Second) supplement to the Offering Circular

6 April 2023

DSM and Firmenich have obtained all Competition Clearances

4 April 2023

Acceptance Period extended pending Indian Competition Clearance until no later than 12 May 2023

31 March 2023

Supplement to the Offering Circular

3 March 2023

DSM and Firmenich have obtained competition clearance from the European Commission

23 February 2023

Acceptance period for Exchange Offer extended pending competition clearances

23 January 2023

DSM-Firmenich - press release launch exchange offer

22 November 2022

DSM-Firmenich merger - information website

31 May 2022

DSM and Firmenich to merge, becoming the leading creation and innovation partner in nutrition, beauty and well-being

31 May 2022

Firmenich Announces Solid Results Outlook for Fiscal Year Ended 30 June 2022

31 May 2022

Firmenich Results & Presentations

Bond information

EUR 750M HYBRID NOTES WITH FIRST RESET DATE 2025

DescriptionSecured, limited recourse notes issued by ELM B.V. which are secured by deeply subordinated loan notes issued by Firmenich International SA
Issuer of Loan Notes Firmenich International SA
Issuer of ELM Notes ELM B.V.
Issue Date May 27, 2020
Maturity Date Perpetual
First Reset Date September 3, 2025
Optional redemption During 90 days up to and including the First Reset Date and every Interest Payment Date thereafter
Nominal total EUR 750m
Coupon 3.75% until First Reset Date
 Thereafter, reset every 5 years to the applicable 5 Year   EUR Mid-Swap Rate + the applicable margin and the   relevant step-ups
Interest Payment Date September 3
S&P Rating BB+

EUR 750M SENIOR UNSECURED FIXED RATE NOTES DUE 2026

IssuerFirmenich Productions Participations SAS (France)
GuarantorFirmenich International SA
Issue DateApril 30, 2020
Maturity DateOctober 30, 2026
Nominal totalEUR 750m
Coupon1.375%
Coupon Payment DateOctober 30
S&P RatingBBB / Stable Outlook

EUR 750M SENIOR UNSECURED FIXED RATE NOTES DUE 2030

IssuerFirmenich Productions Participations SAS (France)
GuarantorFirmenich International SA
Issue DateApril 30, 2020
Maturity DateApril 30, 2030
Nominal totalEUR 750m
Coupon1.75%
Coupon Payment DateApril 30
S&P RatingBBB / Stable Outlook

The information is being provided for your reference only. The complete terms and conditions of each financial instrument are laid out in the related preliminary information memorandum.

Reports & Publications

This site includes statements that are, or may be deemed to be, “forward-looking statements”. These forward-looking statements may be identified by the use of forward-looking terminology, including the terms “believes”, “estimates”, “plans”, “projects”, “anticipates”, “expects”, “intends”, “may”, “will” or “should” or, in each case, their negative or other variations or comparable terminology, or by discussions of strategy, plans, objectives, goals, future events or intentions. These forward-looking statements include all matters that are not historical facts. They appear in a number of places throughout this site and include, but are not limited to, statements regarding the intentions of the relevant Issuer, beliefs or current expectations concerning, among other things, the business, results of operations, financial position and/or prospects of the relevant Issuer.

By their nature, forward-looking statements involve risk and uncertainty because they relate to future events and circumstances. Forward-looking statements are not guarantees of future performance and the financial position and results of operations of the Group, and the development of the markets and the industries in which members of the Group operate, may differ materially from those described in, or suggested by, the forward-looking statements contained in this site or the relevant Prospectus. In addition, even if the Group’s results of operations and financial position, and the development of the markets and the industries in which the Group operates, are consistent with the forward-looking statements contained in this site, those results or developments may not be indicative of results or developments in subsequent periods. A number of risks, uncertainties and other factors could cause results and developments to differ materially from those expressed or implied by the forward-looking statements.

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