Bond Goldman Sachs 0.125% ( XS2043678841 ) in EUR

Issuer Goldman Sachs
Market price 99.41 %  ▲ 
Country  United States
ISIN code  XS2043678841 ( in EUR )
Interest rate 0.125% per year ( payment 1 time a year)
Maturity 19/08/2024 - Bond has expired



Prospectus brochure of the bond Goldman Sachs XS2043678841 in EUR 0.125%, expired


Minimal amount 1 000 EUR
Total amount 1 000 000 000 EUR
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.

A fixed-income instrument, identified by ISIN XS2043678841, was issued from the United States by Goldman Sachs, a leading global investment bank and financial services company, as part of a ?1,000,000,000 issuance, carrying an annual coupon rate of 0.125% and denominated in EUR with a minimum purchase size of ?1,000, and this bond has now successfully matured on August 19, 2024, having been fully repaid at 100% of its nominal value.
DateClean price
07/08/2024100.00%
25/07/202497.73%
28/11/202397.32%
07/08/202397.73%
14/07/202397.73%
20/06/202397.73%
27/05/202397.73%
03/05/202397.73%
09/04/202397.73%
16/03/202397.73%
21/02/202397.73%
29/01/202397.73%
06/01/202397.73%
14/12/202297.73%
21/11/202297.73%
29/10/202297.73%
08/10/202297.73%
18/09/202299.75%
28/08/202299.75%
07/08/202299.75%
17/07/202299.75%
26/06/202299.75%
05/06/202299.75%
15/05/202299.75%
24/04/202299.75%
03/04/202299.75%
13/03/202299.75%
20/02/202299.75%
30/01/202299.75%
09/01/202299.75%
19/12/202199.75%
28/11/202199.75%
07/11/202199.75%
17/10/202199.75%
26/09/202199.75%
05/09/202199.75%
15/08/202199.75%
25/07/202199.75%
04/07/202199.75%
13/06/202199.75%
23/05/202199.75%
02/05/202199.75%
11/04/202199.75%
23/03/202199.75%
06/03/202199.75%
17/02/202199.75%
01/02/202199.75%
16/01/202199.75%
30/12/202099.75%
13/12/202099.75%
26/11/202099.75%
09/11/202099.75%
29/10/202099.75%
21/10/2020100.23%
13/10/2020100.16%
05/10/202099.63%
27/09/202099.25%
19/09/202099.68%
12/09/202099.43%
05/09/202099.68%
28/08/202099.25%
20/08/202099.38%
12/08/202099.38%
04/08/202098.92%
27/07/202098.79%
19/07/202098.36%
11/07/202098.17%
04/07/202097.89%
27/06/202097.65%
19/06/202097.68%
10/06/202097.76%
06/06/202098.26%
02/06/202097.05%
29/05/202096.85%
25/05/202096.11%
21/05/202095.98%
18/05/202095.15%
15/05/202095.33%
11/05/202095.95%
07/05/202095.84%
03/05/202096.59%
29/04/202096.41%
26/04/202096.09%
23/04/202095.96%
20/04/202096.05%
16/04/202096.38%
13/04/202096.73%
10/04/202096.73%
07/04/202094.68%
04/04/202093.87%
01/04/202093.42%
28/03/202090.14%
25/03/202088.19%
22/03/202089.93%
19/03/202088.78%
16/03/202092.44%
13/03/202096.54%
10/03/202097.58%
07/03/202098.87%
04/03/202099.21%
01/03/202099.08%
26/02/202099.58%
23/02/2020100.07%
20/02/2020100.01%
17/02/2020100.09%
14/02/2020100.17%
11/02/202099.99%
08/02/202099.92%
05/02/202099.90%
02/02/202099.93%
30/01/202099.67%
27/01/202099.54%
24/01/202099.49%
21/01/202099.19%
18/01/202099.17%
15/01/202098.92%
12/01/202099.03%
09/01/202099.10%
06/01/202099.32%
03/01/202099.41%
31/12/201999.17%
28/12/201999.47%
25/12/201999.33%
22/12/201999.39%
19/12/201999.47%
16/12/201999.41%