The bond identified by ISIN XS1901797453, issued from the United Kingdom by Goldman Sachs International, a globally recognized leader in investment banking and financial services, successfully reached its maturity on December 19, 2023, and has since been redeemed. This specific debt instrument, denominated in USD, represented a total issue size of 5,000,000 USD with a minimum purchase lot of 1,000 USD, carried a 0% interest rate, with a stated payment frequency of two times per year, and was last noted at a market price of 100% prior to its redemption.
|