Bond Natixis Structured Finance 5% ( FR0013498631 ) in EUR
| Issuer | Natixis Structured Finance | ||
| Market price | |||
| Country | Luxembourg
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| ISIN code |
FR0013498631 ( in EUR )
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| Interest rate | 5% per year ( payment 1 time a year) | ||
| Maturity | 15/07/2030 | ||
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| Minimal amount | / | ||
| Total amount | 30 000 000 EUR | ||
| Next Coupon | 15/07/2026 ( In 158 days ) | ||
| Detailed description |
Natixis Structured Issuance is a global leader in the design, structuring, and distribution of complex financial products, including securitizations, covered bonds, and other structured finance solutions for institutional investors. Natixis Structured Issuance issued a ?30,000,000 bond (ISIN: FR0013498631) maturing on July 15, 2030, with a 5% coupon rate, paying annually, currently trading at 100% of par value in EUR, issued in Luxembourg. |
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