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An examination of a particular debt instrument, identified by its ISIN XS1542046286, reveals key characteristics of a matured bond. The security was issued by SG ISSUER, a common designation for an entity specifically established to issue financial instruments, often functioning as a dedicated financing vehicle or special purpose entity for larger financial groups to facilitate capital raising or structured product offerings. Originated in Luxembourg, a jurisdiction widely recognized for its comprehensive financial sector and favorable environment for debt issuance, this bond was denominated in United States Dollars (USD). It featured a substantial fixed coupon rate of 10%, with interest payments scheduled on a semi-annual basis to its holders. The bond reached its stated maturity date on February 13, 2018, at which point it was redeemed at 100% of its principal value, confirming that the obligation was fully settled and the bondholders received full repayment of their investment, effectively closing out the instrument's lifecycle.
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