Bond Kreditanstalt für Wiederaufbau 0.01% ( XS1999841445 ) in EUR

Issuer Kreditanstalt für Wiederaufbau
Market price 103.62 %  ▲ 
Country  Germany
ISIN code  XS1999841445 ( in EUR )
Interest rate 0.01% per year ( payment 1 time a year)
Maturity 05/05/2027 - Bond has expired



Prospectus brochure of the bond Kreditanstalt für Wiederaufbau XS1999841445 in EUR 0.01%, expired


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Total amount /
Detailed description The Kreditanstalt für Wiederaufbau (KfW) is a German state-owned promotional bank that provides loans and other financial services to promote economic development in Germany and abroad.

The Bond issued by Kreditanstalt für Wiederaufbau ( Germany ) , in EUR, with the ISIN code XS1999841445, pays a coupon of 0.01% per year.
The coupons are paid 1 time per year and the Bond maturity is 05/05/2027
DateClean price
07/08/2024100.00%
09/07/2024100.00%
08/07/2024100.00%
21/11/202390.38%
06/08/202388.77%
13/07/202388.77%
19/06/202388.77%
26/05/202388.77%
02/05/202388.77%
08/04/202388.77%
15/03/202388.77%
20/02/202388.77%
28/01/202388.77%
05/01/202388.77%
13/12/202288.77%
20/11/202288.77%
28/10/202288.77%
07/10/202288.77%
20/09/202290.20%
03/09/202291.84%
17/08/202293.99%
02/08/202295.14%
18/07/202293.49%
03/07/202293.73%
18/06/202291.24%
04/06/202293.56%
20/05/202294.94%
04/05/202294.39%
18/04/202295.34%
03/04/202296.32%
19/03/202298.12%
04/03/202299.57%
15/02/202298.19%
28/01/2022100.20%
09/01/2022100.66%
23/12/2021101.26%
07/12/2021101.86%
20/11/2021101.86%
06/11/2021101.75%
23/10/2021100.87%
09/10/2021101.46%
23/09/2021101.93%
05/09/2021102.54%
23/08/2021103.03%
11/08/2021102.91%
30/07/2021102.77%
18/07/2021102.28%
05/07/2021101.82%
21/06/2021101.69%
07/06/2021101.80%
06/06/2021101.80%
19/05/2021101.37%
02/05/2021101.86%
11/04/2021102.28%
24/03/2021102.39%
08/03/2021102.07%
20/02/2021101.78%
05/02/2021102.97%
23/01/2021102.73%
11/01/2021102.91%
31/12/2020103.42%
16/12/2020103.62%