Non-dilutive cash-settled convertible bonds
Press releases
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30 April 2025
Determination of the final price of the additional €150 million tap issue of non-dilutive convertible bonds to be fully assimilated to the €400 million non-dilutive convertible bonds due February 2030 (Fichier PDF, 910.63 KB)
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28 April 2025
VINCI successfully places a tap issue of non-dilutive convertible bonds for €150 million to be fully assimilated to its €400 million non-dilutive convertible bonds due February 2030 (Fichier PDF, 325.72 KB)
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28 April 2025
VINCI launches a tap issue of non-dilutive convertible bonds for up to €150 million to be fully assimilated to its €400 million non-dilutive convertible bonds due February 2030 (Fichier PDF, 326.33 KB)
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19 February 2025
Notice to holders of the €400 million Non-Dilutive Cash Settled Convertible Bonds due 2030 of VINCI (ISIN FR001400XE50) (the “Bonds”) (Fichier PDF, 273.25 KB)
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18 February 2025
Determination of the share reference price of VINCI’s shares, the initial conversion price and the initial conversion ratio of the €400 million cash-settled synthetic convertible bonds due February 2030 (Fichier PDF, 310.98 KB)
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11 February 2025
VINCI successfully places €400 million cash-settled synthetic convertible bonds (Fichier PDF, 341.65 KB)
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11 February 2025
VINCI launches an offering of up to €400 million cash-settled synthetic convertible bonds (Fichier PDF, 262.89 KB)
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16 November 2021
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds”) (ISIN: FR0013237856) (Fichier PDF, 158.96 KB)
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29 September 2021
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds”) (ISIN: FR0013237856) (Fichier PDF, 236.32 KB)
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20 April 2021
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds”) (ISIN: FR0013237856) (Fichier PDF, 197.74 KB)
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4 January 2021
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds” (ISIN: FR0013237856) (Fichier PDF, 143.77 KB)
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23 June 2020
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds” (ISIN: FR0013237856) (Fichier PDF, 136.71 KB)
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5 November 2019
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds”) (ISIN: FR0013237856) (Fichier PDF, 108.3 KB)
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23 April 2019
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the “Bonds”) (ISIN: FR0013237856) (Fichier PDF, 80.64 KB)
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6 November 2018
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the "Bonds")(ISIN: FR0013237856) (Fichier PDF, 607.09 KB)
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24 April 2018
Notice to holders of the USD 725,000,000 Non-Dilutive Cash Settled Convertible Bonds due 2022 of VINCI (the "Bonds")(ISIN: FR0013237856) (Fichier PDF, 607.25 KB)