Bond Avia 3.375% ( XS1242413679 ) in EUR

Issuer Avia
Market price refresh price now   99.99 %  ▼ 
Country  United Kingdom
ISIN code  XS1242413679 ( in EUR )
Interest rate 3.375% per year ( payment 1 time a year)
Maturity 03/12/2045



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Next Coupon 04/12/2026 ( In 298 days )
Detailed description Aviva is a multinational insurance company offering a range of financial services including insurance, savings, and asset management products.

A long-term debt instrument identified by ISIN XS1242413679 has been issued by Aviva, a prominent multinational insurance company headquartered in the United Kingdom. Aviva plc is one of the largest general insurers and life and pensions providers in the UK, with operations across various markets globally, offering a wide range of insurance, savings, and investment products. This particular bond, denominated in EUR, carries a fixed annual interest rate (coupon) of 3.375% and is set to mature on December 3, 2045, indicating a significant duration. Interest payments are scheduled once per year, reflecting an annual payment frequency. Currently, the bond is trading at 100.24% of its par value on the market, having been issued from the United Kingdom.