Bond Eldorado Gold Corp 6.125% ( USC3314PAB25 ) in USD

Issuer Eldorado Gold Corp
Market price 99.33 %  ▼ 
Country  Canada
ISIN code  USC3314PAB25 ( in USD )
Interest rate 6.125% per year ( payment 2 times a year)
Maturity 14/12/2020 - Bond has expired



Prospectus brochure in PDF format

Minimal amount 2 000 USD
Total amount 600 000 000 USD
Cusip C3314PAB2
Standard & Poor's ( S&P ) rating N/A
Moody's rating N/A
Detailed description Eldorado Gold Corp. is a Canadian-based gold mining company with operations in multiple countries, focusing on the exploration, development, and operation of gold mines.

Eldorado Gold Corp's USD 600,000,000 6.125% bond (CUSIP: C3314PAB2, ISIN: USC3314PAB25), issued in Canada, matured on December 14, 2020, at 100% of face value, with semi-annual coupon payments and a minimum trading size of 2,000 bonds.
DateClean price
07/08/2024100.00%
05/03/2020100.01%
02/03/2020100.01%
28/02/2020100.01%
25/02/2020100.01%
22/02/2020100.01%
19/02/2020100.01%
15/02/2020100.01%
12/02/2020100.01%
09/02/2020100.01%
06/02/2020100.01%
03/02/2020100.01%
31/01/2020100.01%
28/01/2020100.01%
25/01/2020100.01%
22/01/2020100.01%
19/01/2020100.01%
16/01/2020100.01%
13/01/2020100.01%
10/01/2020100.01%
07/01/2020100.01%
04/01/2020100.01%
02/01/2020100.01%
30/12/2019100.01%
27/12/2019100.01%
24/12/2019100.01%
21/12/2019100.01%
18/12/2019100.01%
15/12/2019100.01%
09/12/2019100.01%
02/12/2019100.01%
25/11/2019100.01%
19/11/2019100.01%
15/11/2019100.01%
11/11/2019100.01%
07/11/2019100.01%
03/11/2019100.01%
30/10/2019100.01%
26/10/2019100.01%
22/10/2019100.01%
18/10/2019100.01%
14/10/2019100.01%
11/10/2019100.01%
08/10/2019100.01%
05/10/2019100.01%
01/10/2019100.01%
26/09/2019100.01%
21/09/2019100.01%
16/09/2019100.01%
12/09/2019100.01%
06/09/2019100.01%
01/09/2019100.01%
27/08/2019100.01%
22/08/2019100.01%
18/08/2019100.01%
15/08/2019100.01%
11/08/2019100.01%
08/08/2019100.01%
04/08/2019100.01%
01/08/2019100.01%
29/07/2019100.01%
26/07/2019100.01%
23/07/2019100.01%
20/07/2019100.01%
18/07/2019100.01%
16/07/2019100.01%
13/07/2019100.01%
10/07/2019100.01%
07/07/2019100.01%
04/07/2019100.01%
02/07/2019100.01%
29/06/201998.30%
27/06/201998.30%
25/06/201998.30%
23/06/201998.30%
21/06/201998.30%
19/06/201998.30%
13/06/201998.30%
07/06/201998.30%
02/06/201998.30%
29/05/201999.33%
23/05/201999.33%