Bond Chile 1.25% ( XS2291692890 ) in EUR

Issuer Chile
Market price refresh price now   97.38 %  ▲ 
Country  Chile
ISIN code  XS2291692890 ( in EUR )
Interest rate 1.25% per year ( payment 1 time a year)
Maturity 21/01/2051



Prospectus brochure in PDF format

Minimal amount /
Total amount /
Next Coupon 22/01/2027 ( In 137 days )
Detailed description Chile is a long, narrow South American country extending along the Pacific coast, known for its diverse geography, including the Atacama Desert, Andes Mountains, and Patagonia.

The Bond issued by Chile ( Chile ) , in EUR, with the ISIN code XS2291692890, pays a coupon of 1.25% per year.
The coupons are paid 1 time per year and the Bond maturity is 21/01/2051
DateClean price
30/04/202652.35%
13/02/202654.95%
15/12/202552.90%
15/10/202555.40%
26/08/202554.07%
30/06/202553.24%
18/04/202551.20%
07/02/202556.20%
28/12/202455.55%
27/10/202455.20%
07/09/202456.49%
07/08/2024100.00%
28/01/202452.98%
16/08/202352.00%
29/06/202352.00%
05/06/202352.00%
12/05/202352.00%
19/04/202353.00%
01/04/202353.15%
13/03/202349.33%
19/02/202352.10%
29/01/202354.76%
07/01/202353.31%
16/12/202255.64%
24/11/202253.30%
01/11/202247.85%
12/10/202248.25%
24/09/202253.07%
07/09/202256.95%
21/08/202260.70%
05/08/202259.96%
21/07/202255.41%
06/07/202256.50%
21/06/202255.33%
06/06/202263.81%
22/05/202262.13%
07/05/202263.05%
21/04/202269.13%
06/04/202273.23%
22/03/202272.67%
08/03/202272.42%
20/02/202275.76%
02/02/202284.36%
18/01/202285.72%
29/12/202189.56%
12/12/202190.94%
26/11/202188.40%
12/11/202190.42%
30/10/202187.38%
16/10/202186.40%
02/10/202188.08%
14/09/202191.63%
29/08/202191.53%
17/08/202191.73%
05/08/202192.13%
24/07/202190.33%
11/07/202189.76%
28/06/202189.49%
14/06/202190.00%
27/05/202188.25%
10/05/202188.60%
20/04/202190.88%
03/04/202190.30%
17/03/202191.45%
01/03/202191.53%
12/02/202195.88%
29/01/202197.38%