Bond NatWest Global Markets N.V. 2.12% ( XS2502042562 ) in EUR
| Issuer | NatWest Global Markets N.V. |
| Market price | 100 % ⇌ |
| Country | United Kingdom
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| ISIN code |
XS2502042562 ( in EUR )
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| Interest rate | 2.12% per year ( payment 1 time a year) |
| Maturity | 28/06/2024 - Bond has expired |
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| Minimal amount | / |
| Total amount | / |
| Detailed description |
NatWest Markets N.V. is a subsidiary of NatWest Group plc, providing wholesale banking services including fixed income, currencies, and commodities (FICC) trading, and financing to institutional clients globally. The bond identified by ISIN XS2502042562, issued from the United Kingdom by NatWest Markets N.V., a Dutch-domiciled entity serving as the international wholesale banking arm of the NatWest Group specializing in fixed income, currencies, and derivatives, successfully reached its maturity on June 28, 2024, and was fully redeemed at its par value of 100% of the principal, having paid an annual interest rate of 2.12% throughout its tenure, with the obligation denominated in EUR. |
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