0.35% EUR Bond
Overview of bond
Time to maturity: | 2021-2031 |
Maturity: | September 29 |
Coupon (%): | 0.35 |
Volume of issue (million): | 750 |
Currency: | EUR |
ISIN: | XS2391406530 |
Listing: | Luxembourg (MTF) |
Denomination: | 1,000 |
Interest payment: | September 29 |
Documentation: | EMTN from Jun. 22, 2021 and EMTN Supplement from Sep. 15, 2021 |
Further informationen:
to overview