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Jt International Financial Services bond | 2.88% 2083-10-07 EUR | XS2238783778

Change % : ▼-0.029%

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Overview

pricing as of 2026-08-11
6.43
2.875
98.094
2083-10-07
EUR
99.293/97.584

Analytics

13.502
14.370
473.510
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Bond Information

Issue Type
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Country
Japan
Industry
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Region
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Maturity Date
2083-10-07
Par Value
100000
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)
500.00

Coupon Information

Coupon
2.875
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)
500.000
Min. Piece
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Min. Increment
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About the JAPTOB 2.88% 2083-10-07 EUR bond (XS2238783778)

This Jt International Financial Services BV corporate capital securities has a 2.88% fixed-floating rate rate coupon paid on a Login basis. It was issued on MAR 12, 2000 with an issue size of 500.00 million EUR and matures on October 07, 2083 with a last coupon date of FEB 28, 2020.

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JAPTOB 3.63% 2034-04-11 EUR

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Pays a 3.625% coupon and matures on April 11, 2034.

97.34 EUR▲ 0.24

JAPTOB 2.75% 2033-09-28 GBP

XS1883352335

Pays a 2.75% coupon and matures on September 28, 2033.

83.80 GBP▲ 0.22

JAPTOB 3.30% 2051-09-14 USD

XS2383492902

Pays a 3.3% coupon and matures on September 14, 2051.

62.76 USD▲ 0.12

JAPTOB 1.00% 2029-11-26 EUR

XS2082472122

Pays a 1% coupon and matures on November 26, 2029.

92.66 EUR▲ 0.11

JAPTOB 6.88% 2032-10-24 USD

US480914AA80

Pays a 6.875% coupon and matures on October 24, 2032.

108.48 USD▲ 0.04

About the issuer Jt International Financial Services BV

Jt International Financial Services BV, founded in the Netherlands, serves as a prominent player in the financial services sector, focused on delivering innovative solutions for retail investors. The company offers a range of financial products, including investment management services, structured products, and insurance solutions tailored to meet diverse investment needs.