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Issue Type | XXXX |
---|---|
Country | France |
Industry | XXXX |
Region | XXXX |
Maturity Date | 2027-03-15 |
Par Value | 100000 |
Callable | XXXX |
Next Call Date | XXXX |
Call Type | XXXX |
Call Price (%) | XXXX |
Series | XXXX |
Class | XXXX |
Maturity Structure | XXXX |
Amount Outstanding (mil) | 400.00 |
Coupon | 2.25 |
---|---|
Coupon Type | XXXX |
Coupon Frequency | XXXX |
First Coupon Date | XXXX |
Last Coupon Date | XXXX |
Sinking Fund | XXXX |
---|---|
Security | XXXX |
Subordination | XXXX |
Debt Type | XXXX |
Issue Date | XXXX |
---|---|
Dated Date | XXXX |
Issue Size (mil) | 400 |
Min. Piece | XXXX |
Min. Increment | XXXX |
XXXX |
FR0013367620
Pays a 1% coupon and matures on September 26, 2025.
99.97 EUR▲ 0.01
FR0013397452
Pays a 1.625% coupon and matures on January 18, 2029.
96.65 EUR▼ -0.05
FR0014000PF1
Pays a 0% coupon and matures on November 27, 2028.
92.22 EUR▼ -0.07
FR0013367638
Pays a 1.75% coupon and matures on September 26, 2030.
94.16 EUR▼ -0.15
USF5879XNZ70
Pays a 3.75% coupon and matures on April 10, 2029.
98.55 USD▼ -0.16
US927320AA96
Pays a 3.75% coupon and matures on April 10, 2029.
98.55 USD▼ -0.16