Bond Kuntarahoitus Oyj 1.4% ( XS1859000967 ) in EUR

Issuer Kuntarahoitus Oyj
Market price 100.66 %  ▲ 
Country  Finland
ISIN code  XS1859000967 ( in EUR )
Interest rate 1.4% per year ( payment 1 time a year)
Maturity 03/08/2028 - Bond has expired



Prospectus brochure in PDF format

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Detailed description Kuntarahoitus Oyj is a Finnish state-owned limited liability company providing financing services to Finnish municipalities and other public sector entities.

The Bond issued by Kuntarahoitus Oyj ( Finland ) , in EUR, with the ISIN code XS1859000967, pays a coupon of 1.4% per year.
The coupons are paid 1 time per year and the Bond maturity is 03/08/2028
DateClean price
07/08/2024100.00%
09/07/2024100.00%
08/07/2024100.00%
20/04/202492.91%
27/08/2023100.47%
03/08/2023100.47%
10/07/2023100.47%
16/06/2023100.47%
23/05/2023100.47%
29/04/2023100.47%
05/04/2023100.47%
12/03/2023100.47%
17/02/2023100.47%
25/01/2023100.47%
02/01/2023100.47%
10/12/2022100.47%
17/11/2022100.47%
25/10/2022100.47%
04/10/2022100.47%
13/09/2022100.47%
23/08/2022100.47%
02/08/2022100.47%
12/07/2022100.47%
21/06/2022100.47%
31/05/2022100.47%
10/05/2022100.47%
19/04/2022100.47%
29/03/2022100.47%
08/03/2022100.47%
15/02/2022100.47%
25/01/2022100.47%
04/01/2022100.47%
14/12/2021100.47%
23/11/2021100.47%
02/11/2021100.47%
12/10/2021100.47%
28/09/2021100.49%
09/09/2021100.55%
26/08/2021100.58%
14/08/2021100.64%
02/08/2021100.66%
21/07/2021100.65%
08/07/2021100.67%
24/06/2021100.65%
11/06/2021100.69%
24/05/2021100.65%
07/05/2021100.50%
17/04/2021100.60%
30/03/2021100.65%
13/03/2021100.66%