Bond Goldman Sachs 0.97% ( XS1970502685 ) in USD

Issuer Goldman Sachs
Market price 100.00 %  ▲ 
Country  United States
ISIN code  XS1970502685 ( in USD )
Interest rate 0.97% per year ( payment 1 time a year)
Maturity 08/04/2026 - Bond has expired



Prospectus brochure of the bond Goldman Sachs XS1970502685 in USD 0.97%, expired


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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 USD, with the ISIN code XS1970502685, pays a coupon of 0.97% per year.
The coupons are paid 1 time per year and the Bond maturity is 08/04/2026
DateClean price
13/03/2026100.67%
08/01/202699.79%
11/11/202599.31%
16/09/202598.62%
23/07/202597.81%
22/05/202596.90%
07/03/202597.44%
14/01/202596.31%
19/11/202495.82%
30/09/202494.93%
13/08/202492.15%
07/08/2024100.00%
26/07/202486.93%
17/03/202492.15%
21/08/202386.07%
28/07/202386.07%
04/07/202386.07%
10/06/202386.07%
17/05/202386.07%
23/04/202386.07%
30/03/202386.07%
06/03/202386.07%
11/02/202386.07%
23/01/202389.67%
01/01/202387.73%
10/12/202287.73%
19/11/202285.63%
28/10/202285.58%
08/10/202286.93%
28/09/202285.79%
11/09/202288.21%
26/08/202289.03%
10/08/202290.26%
25/07/202286.58%
10/07/202286.80%
25/06/202287.75%
11/06/202287.43%
27/05/202287.43%
12/05/202289.16%
27/04/202288.75%
11/04/202290.30%
27/03/202289.56%
12/03/202292.38%
25/02/202294.88%
06/02/202294.88%
22/01/202295.83%
03/01/202297.59%
17/12/202197.45%
30/11/202197.58%
14/11/202197.48%
31/10/202197.60%
17/10/202197.95%
03/10/202198.71%
15/09/202199.11%
30/08/202198.99%
18/08/202198.78%
06/08/202198.85%
25/07/202198.94%
13/07/202198.56%
30/06/202198.40%
16/06/202198.86%
29/05/202198.61%
12/05/202198.55%
22/04/2021100.00%