Bond Santander Global Products 0% ( XS2214624673 ) in USD

Issuer Santander Global Products
Market price refresh price now   100 %  ⇌ 
Country  Ireland
ISIN code  XS2214624673 ( in USD )
Interest rate 0%
Maturity 28/08/2060



Prospectus brochure of the bond Santander International Products XS2214624673 en USD 0%, maturity 28/08/2060


Minimal amount 1 000 000 USD
Total amount 80 000 000 USD
Detailed description Santander International offers a range of financial products and services, including offshore banking, wealth management, and investment solutions, primarily targeting high-net-worth individuals and businesses.

The Bond issued by Santander Global Products ( Ireland ) , in USD, with the ISIN code XS2214624673, pays a coupon of 0% per year.
The coupons are paid 1 time per year and the Bond maturity is 28/08/2060









(Issuer information)
(Issuer)
Société Générale
(Nationality)

(Industry)


(Bond information)




(Bond name)
Societe Generale ZAR

520,000,000 Fixed Coupon
Callable Notes due 26 August
2027
(Bond code)
F02252

(Short name)
P20SG6

ISIN
XS2174519061

(Currency)


(Issue date)
2020.8.26

(Pricing date)
2020.8.5

(Tenor)
7



ZAR 520,000,000
(Amount of issuance)
(Issue price)
100


(Fixed)
(Fixed)
(Coupon type)
(Floating)
(Floating)
(Zero coupon)
(Zero coupon)



(Details relating to interest
6.75%
payment)

Not Applicable
Not Applicable
(Early redemption)
Callable, non-call 3 X 1 Callable, non-call X
Make-whole call
Make-whole call

The issuer may call the Notes at
(Details relating to
par every 1 year starting 3 year
redemption)
from Issue Date to but excluding
Maturity Date.


1






(Credit rating)




(Rating agency)
Moody's/ S&P's/ Fitch

(Rating)
A1/A/A-


(Pricing information)




(Pricing date)
2020.8.5

(Interest) (A)
6.75%



7 SWAP
(Benchmark)


(Benchmark at the pricing
6.005%
date) (B)


0.745%
(Interest rate spread) (C)

(A)(B)(C)




2