Bond Kfw 0.0505% ( US500769BC70 ) in CAD

Issuer Kfw
Market price 115.46 %  ▼ 
Country  Germany
ISIN code  US500769BC70 ( in CAD )
Interest rate 0.0505% per year ( payment 2 times a year)
Maturity 04/02/2025 - Bond has expired



Prospectus brochure of the bond Kfw US500769BC70 in CAD 0.0505%, expired


Minimal amount /
Total amount /
Cusip 500769BC7
Standard & Poor's ( S&P ) rating A ( Upper medium grade - Investment-grade )
Detailed description KFW is a German state-owned promotional bank that provides financing for projects in developing and emerging countries, as well as supporting sustainable development and climate action initiatives in Germany and abroad.

The Bond issued by Kfw ( Germany ) , in CAD, with the ISIN code US500769BC70, pays a coupon of 0.0505% per year.
The coupons are paid 2 times per year and the Bond maturity is 04/02/2025
The Bond issued by Kfw ( Germany ) , in CAD, with the ISIN code US500769BC70, was rated A ( Upper medium grade - Investment-grade ) by Standard & Poor's ( S&P ) credit rating agency.
DateClean price
07/08/2024100.00%
25/07/2024121.70%
23/02/2024100.13%
19/08/2023101.79%
26/07/2023101.79%
02/07/2023101.79%
08/06/2023101.79%
15/05/2023101.79%
21/04/2023101.79%
28/03/2023101.79%
04/03/2023101.79%
09/02/2023101.79%
17/01/2023101.79%
25/12/2022101.79%
02/12/2022101.79%
09/11/2022101.79%
19/10/2022101.79%
30/09/2022102.48%
13/09/2022102.76%
28/08/2022103.12%
11/08/2022104.10%
26/07/2022104.54%
11/07/2022104.07%
26/06/2022104.12%
11/06/2022104.28%
28/05/2022105.85%
13/05/2022105.47%
28/04/2022106.01%
12/04/2022106.21%
27/03/2022106.65%
12/03/2022108.55%
25/02/2022109.09%
06/02/2022109.52%
22/01/2022110.06%
02/01/2022110.91%
17/12/2021111.44%
30/11/2021111.32%
15/11/2021111.33%
01/11/2021111.47%
18/10/2021112.42%
05/10/2021113.22%
19/09/2021113.89%
01/09/2021113.97%
20/08/2021114.18%
08/08/2021114.08%
27/07/2021114.55%
15/07/2021114.28%
01/07/2021114.23%
17/06/2021114.73%
31/05/2021115.02%
14/05/2021115.20%
25/04/2021115.38%
05/04/2021115.51%
18/03/2021115.46%