Bond Banque fédérative du crédit mutuel 0.1% ( FR00140003P3 ) in EUR

Issuer Banque fédérative du crédit mutuel
Market price refresh price now   99.51 %  ▼ 
Country  France
ISIN code  FR00140003P3 ( in EUR )
Interest rate 0.1% per year ( payment 1 time a year)
Maturity 08/10/2027



Prospectus brochure in PDF format

Minimal amount 100 000 EUR
Total amount 750 000 000 EUR
Next Coupon 08/10/2026 ( In 42 days )
Detailed description Crédit Mutuel's banking operations are conducted through a network of regional banks, each with its own distinct legal identity but operating under the Crédit Mutuel brand and overall group structure.

The Bond issued by Banque fédérative du crédit mutuel ( France ) , in EUR, with the ISIN code FR00140003P3, pays a coupon of 0.1% per year.
The coupons are paid 1 time per year and the Bond maturity is 08/10/2027
DateClean price
07/08/2024100.00%
09/07/2024100.00%
08/07/2024100.00%
17/11/202386.81%
06/08/202399.51%
13/07/202399.51%
19/06/202399.51%
26/05/202399.51%
02/05/202399.51%
08/04/202399.51%
15/03/202399.51%
20/02/202399.51%
28/01/202399.51%
05/01/202399.51%
13/12/202299.51%
20/11/202299.51%
28/10/202299.51%
07/10/202299.51%
16/09/202299.51%
26/08/202299.51%
05/08/202299.51%
15/07/202299.51%
24/06/202299.51%
03/06/202299.51%
13/05/202299.51%
22/04/202299.51%
01/04/202299.51%
11/03/202299.51%
18/02/202299.51%
28/01/202299.51%
07/01/202299.51%
17/12/202199.51%
26/11/202199.51%
05/11/202199.51%
15/10/202199.51%
24/09/202199.51%