The fixed-income market recently observed the full redemption of bond ISIN XS1549538178, an instrument issued by GOLDMAN SACHS INTERNATIONAL, the United Kingdom-based subsidiary of the globally renowned investment banking and financial services group, Goldman Sachs, which was denominated in Russian Rubles (RUB), originated from the United Kingdom, carried a 0% interest rate with an annual payment frequency, traded at 100% of its face value, reached its maturity on March 24, 2020, and has since been successfully repaid to its holders.
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