Discover more about our publicly traded debt instruments and debt profile.
Information as of June 30, 2022
|CEMEX, S.A.B. de C.V., U.S. $1,000,000,000- Subordinated Notes|
|Coupon:||5.125%, subject to reset every five years commencing on September 8, 2026.|
|Issue date:||June 8, 2021|
|Due Date:||The notes have no fixed maturity.|
|CUSIP:||151290 CA9 (144A) P2253T JS9 (Regulation S)|
|ISIN:||US151290CA97 (144A) USP2253TJS98 (Regulation S)|
Excluded from Consolidated Funded Debt when calculating ratio of Consolidated Funded Debt/EBITDA.
For any additional information, please contact our Investor Relations team.