The bond identified by ISIN code XS2239094266, issued in USD from the United States by Goldman Sachs International?a globally recognized financial institution specializing in investment banking, securities, and investment management?recently reached its maturity on June 23, 2021, and has since been fully redeemed, with this specific debt instrument characterized by a zero percent interest rate, indicating its structure as a zero-coupon bond, and its principal repayment, equivalent to 100% of its market value at redemption, occurring as a single payment upon maturity.
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