Bond Nissan Motor 3.201% ( XS2228683350 ) in EUR

Issuer Nissan Motor
Market price refresh price now   101.84 %  ▲ 
Country  Japan
ISIN code  XS2228683350 ( in EUR )
Interest rate 3.201% per year ( payment 1 time a year)
Maturity 16/09/2028



Prospectus brochure of the bond Nissan Motor XS2228683350 en EUR 3.201%, maturity 16/09/2028


Minimal amount 100 000 EUR
Total amount 750 000 000 EUR
Next Coupon 17/09/2027 ( In 345 days )
Detailed description Nissan Motor Co., Ltd. is a Japanese multinational automotive manufacturer headquartered in Yokohama, Japan, known for its diverse range of vehicles including sedans, SUVs, trucks, and electric vehicles, and its global presence and partnerships.

The Bond issued by Nissan Motor ( Japan ) , in EUR, with the ISIN code XS2228683350, pays a coupon of 3.201% per year.
The coupons are paid 1 time per year and the Bond maturity is 16/09/2028
DateClean price
07/08/2024100.00%
22/12/202396.10%
11/08/202389.45%
18/07/202389.45%
24/06/202389.45%
31/05/202389.45%
07/05/202389.45%
13/04/202389.45%
20/03/202389.45%
14/03/2023114.31%
19/02/2023114.31%
27/01/2023114.31%
04/01/2023114.31%
12/12/2022114.31%
19/11/2022114.31%
27/10/2022114.31%
06/10/2022114.31%
15/09/2022114.31%
25/08/2022114.31%
04/08/2022114.31%
14/07/2022114.31%
23/06/2022114.31%
02/06/2022114.31%
12/05/2022114.31%
21/04/2022114.31%
31/03/2022114.31%
10/03/2022114.31%
17/02/2022114.31%
27/01/2022114.31%
06/01/2022114.31%
16/12/2021114.31%
25/11/2021114.31%
04/11/2021114.31%
14/10/2021114.31%
23/09/2021114.31%
02/09/2021114.31%
12/08/2021114.31%
22/07/2021114.31%
09/07/2021113.23%
24/06/2021113.17%
10/06/2021112.94%
23/05/2021109.58%
06/05/2021112.99%
16/04/2021112.65%
29/03/2021111.45%
12/03/2021111.14%
24/02/2021111.50%
08/02/2021110.87%
26/01/2021109.77%
14/01/2021109.76%
03/01/2021107.89%
19/12/2020107.99%
06/12/2020108.21%
23/11/2020104.52%
07/11/2020102.16%
27/10/2020100.71%
20/10/2020101.68%
12/10/2020101.77%
04/10/2020101.45%
26/09/2020100.51%
19/09/2020101.84%