Bond Natixis Structured Finance 5% ( FR0013522117 ) in EUR
| Issuer | Natixis Structured Finance | ||
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| ISIN code |
FR0013522117 ( in EUR )
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| Interest rate | 5% per year ( payment 1 time a year) | ||
| Maturity | 13/11/2030 | ||
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| Minimal amount | / | ||
| Total amount | / | ||
| Next Coupon | 13/11/2026 ( In 254 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. The Bond issued by Natixis Structured Finance ( ) , in EUR, with the ISIN code FR0013522117, pays a coupon of 5% per year. The coupons are paid 1 time per year and the Bond maturity is 13/11/2030 |
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