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Issue Type | XXXX |
---|---|
Country | France |
Industry | XXXX |
Region | XXXX |
Maturity Date | 2025-08-11 |
Par Value | 1000 |
Callable | XXXX |
Next Call Date | XXXX |
Call Type | XXXX |
Call Price (%) | XXXX |
Series | XXXX |
Class | XXXX |
Maturity Structure | XXXX |
Amount Outstanding (mil) | 3.00 |
Coupon | |
---|---|
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) | 3 |
Min. Piece | XXXX |
Min. Increment | XXXX |
XXXX |
FR1CIBFS5169
Pays a 0% coupon and matures on March 31, 2029.
89.32 EUR▲ 0.06
FR1CIBFS8486
Pays a 0% coupon and matures on July 28, 2031.
114.54 EUR▲ 0.04
FR2CIBFS2397
Pays a 0% coupon and matures on December 08, 2031.
112.88 EUR▲ 0.03
FR2CIBFS3338
Pays a 0% coupon and matures on January 05, 2032.
114.47 EUR▲ 0.03
XS2483047317
Pays a 3.25% coupon and matures on May 02, 2027.
100.06 EUR▲ 0.03
XS2706984502
Pays a 3.2% coupon and matures on April 02, 2028.
100.71 EUR▲ 0.03