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Goldman Sachs bond | 3.25% 2026-10-28 USD | XS1457382296

Change % : ▼-0.024%

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Overview

pricing as of 2026-08-28
7.18
3.250
99.815
2026-10-28
USD
99.839/98.357

Analytics

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Bond Information

Issue Type
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Country
United Kingdom
Industry
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Region
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Maturity Date
2026-10-28
Par Value
2000
Callable
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Next Call Date
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Call Type
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Call Price (%)
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Series
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Class
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Maturity Structure
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Amount Outstanding (mil)
100.00

Coupon Information

Coupon
3.25
Coupon Type
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Coupon Frequency
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First Coupon Date
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Last Coupon Date
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Risk Information

Sinking Fund
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Security
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Subordination
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Debt Type
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Issuance Information

Issue Date
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Dated Date
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Issue Size (mil)
100
Min. Piece
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Min. Increment
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About the GS 3.25% 2026-10-28 USD bond (XS1457382296)

This Goldman Sachs International corporate note has a 3.25% fixed-floating rate rate coupon paid on a Login basis. It was issued on MAR 12, 2000 with an issue size of 100.00 million USD and matures on October 28, 2026 with a last coupon date of FEB 28, 2020.

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About the issuer Goldman Sachs International

Goldman Sachs International, founded in 1986 and based in London, serves as the international branch of the renowned investment banking firm Goldman Sachs, headquartered in New York City. The firm specializes in investment banking, securities, and investment management, providing a broad range of financial services to a diverse client base, including corporations, financial institutions, and governments.