Bond Standard Chartered Plc 3.265% ( XS2230265246 ) in USD

Issuer Standard Chartered Plc
Market price refresh price now   101.72 %  ▲ 
Country  United Kingdom
ISIN code  XS2230265246 ( in USD )
Interest rate 3.265% per year ( payment 2 times a year)
Maturity 17/02/2036



Prospectus brochure of the bond Standard Chartered Plc XS2230265246 en USD 3.265%, maturity 17/02/2036


Minimal amount /
Total amount /
Next Coupon 18/02/2027 ( In 176 days )
Detailed description Standard Chartered PLC is a British multinational banking and financial services company headquartered in London, operating in Asia, Africa, and the Middle East, with a focus on emerging markets.

Standard Chartered Plc issued a USD-denominated bond (ISIN: XS2230265246), currently trading at 86.6% of its face value, offering a 3.265% coupon with semi-annual payments, maturing on February 17, 2036.
DateClean price
17/03/202691.55%
14/01/202691.98%
13/11/202592.45%
18/09/202592.13%
25/07/202589.83%
29/05/202587.77%
11/03/202587.89%
16/01/202585.53%
21/11/202486.60%
03/10/202489.07%
16/08/202488.04%
07/08/2024100.00%
11/11/202375.39%
12/09/202377.66%
18/08/202378.42%
26/07/202379.85%
03/07/202379.06%
10/06/202379.14%
17/05/202379.24%
02/05/202398.26%
08/04/202398.26%
15/03/202398.26%
20/02/202398.26%
28/01/202398.26%
05/01/202398.26%
13/12/202298.26%
20/11/202298.26%
28/10/202298.26%
07/10/202298.26%
16/09/202298.26%
26/08/202298.26%
05/08/202298.26%
15/07/202298.26%
24/06/202298.26%
03/06/202298.26%
13/05/202298.26%
22/04/202298.26%
01/04/202298.26%
11/03/202298.26%
18/02/202298.26%
28/01/202298.26%
07/01/202298.26%
17/12/202198.26%
26/11/202198.26%
05/11/202198.26%
15/10/202198.26%
24/09/202198.26%
03/09/202198.26%
13/08/202198.26%
23/07/202198.26%
02/07/202198.26%
11/06/202198.26%
21/05/202198.26%
30/04/202198.26%
09/04/202198.26%
22/03/202196.08%
05/03/202197.05%
17/02/2021100.91%
03/02/2021101.72%