Bond NatWest Global Markets N.V. 6.2635% ( XS2555717292 ) in USD

Issuer NatWest Global Markets N.V.
Market price 100 %  ⇌ 
Country  United Kingdom
ISIN code  XS2555717292 ( in USD )
Interest rate 6.2635% per year ( payment 2 times a year)
Maturity 21/11/2024 - Bond has expired



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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.

An analysis of the XS2555717292 bond, issued from the United Kingdom by Natwest Markets N.V., a key wholesale banking subsidiary of the NatWest Group responsible for funding, risk management, and capital market activities, indicates its recent completion. This USD-denominated debt instrument carried an annual interest rate of 6.2635%, with coupon payments made semi-annually. Having reached its scheduled maturity date of November 21, 2024, the bond has since been fully redeemed at its par value of 100%, thereby concluding its active presence in the financial markets.