An analysis of the bond identified by ISIN XS1318255012, issued by GOLDMAN SACHS INTERNATIONAL, provides insight into its financial characteristics and status. GOLDMAN SACHS INTERNATIONAL, a prominent global investment banking and financial services company, issued this USD-denominated obligation from the United Kingdom. Its stated interest rate was 0%, with a reported payment frequency of 2, and it reached its maturity on July 7, 2021. At the time of its redemption, the bond's market value stood at 100%. As of its maturity date, this bond has successfully concluded its term and been fully redeemed, signifying the completion of its financial lifecycle.
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