Bond Goldman Sachs 0.8% ( XS1610702547 ) in JPY

Issuer Goldman Sachs
Market price refresh price now   100.00 %  ▲ 
Country  United States
ISIN code  XS1610702547 ( in JPY )
Interest rate 0.8% per year ( payment 2 times a year)
Maturity 07/12/2027



Prospectus brochure of the bond Goldman Sachs XS1610702547 en JPY 0.8%, maturity 07/12/2027


Minimal amount 1 000 000 JPY
Total amount 10 000 000 000 JPY
Next Coupon 07/12/2026 ( In 102 days )
Detailed description Goldman Sachs is a leading global investment banking, securities, and investment management firm that provides a wide range of financial services to corporations, governments, and high-net-worth individuals.

The Bond issued by Goldman Sachs ( United States ) , in JPY, with the ISIN code XS1610702547, pays a coupon of 0.8% per year.
The coupons are paid 2 times per year and the Bond maturity is 07/12/2027
DateClean price
07/08/2024100.00%
25/07/202499.88%
07/08/202399.88%
14/07/202399.88%
20/06/202399.88%
27/05/202399.88%
03/05/202399.88%
09/04/202399.88%
16/03/202399.88%
21/02/202399.88%
29/01/202399.88%
06/01/202399.88%
14/12/202299.88%
21/11/202299.88%
29/10/202299.88%
08/10/202299.88%
24/09/2022100.00%
03/09/2022100.00%
13/08/2022100.00%
23/07/2022100.00%
02/07/2022100.00%
11/06/2022100.00%
21/05/2022100.00%
30/04/2022100.00%
09/04/2022100.00%
19/03/2022100.00%
26/02/2022100.00%
05/02/2022100.00%