Bond NatWest Markets Ltd 3.125% ( XS3270997011 ) in EUR
| Issuer | NatWest Markets Ltd |
| Market price | |
| Country | United Kingdom
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| ISIN code |
XS3270997011 ( in EUR )
|
| Interest rate | 3.125% per year ( payment 1 time a year) |
| Maturity | 12/01/2031 |
|
Prospectus brochure in PDF format is unavailable at this time We will provide it as soon as possible |
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| Minimal amount | / |
| Total amount | / |
| Next Coupon | 13/01/2027 ( In 186 days ) |
| Detailed description |
NatWest Markets plc is the investment banking arm of NatWest Group, offering a range of services including fixed income, currencies, and commodities (FICC) trading, advisory, and financing solutions to corporate and institutional clients globally. The Bond issued by NatWest Markets Ltd ( United Kingdom ) , in EUR, with the ISIN code XS3270997011, pays a coupon of 3.125% per year. The coupons are paid 1 time per year and the Bond maturity is 12/01/2031 |
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