Obbligazione GOLDMAN SACHS GLOBAL CORP LTD 2.42% ( XS2042706270 ) in USD

Emittente GOLDMAN SACHS GLOBAL CORP LTD
Prezzo di mercato refresh price now   100 USD  ⇌ 
Paese  Jersey
Codice isin  XS2042706270 ( in USD )
Tasso d'interesse 2.42% per anno ( pagato 2 volte l'anno)
Scadenza 02/01/2031



Prospetto opuscolo dell'obbligazione Goldman Sachs Finance Corp International Ltd XS2042706270 en USD 2.42%, scadenza 02/01/2031


Importo minimo 1 000 000 USD
Importo totale 75 000 000 USD
Coupon successivo 02/07/2026 ( In 88 giorni )
Descrizione dettagliata Goldman Sachs Finance Corp International Ltd è una sussidiaria di Goldman Sachs Group, Inc., operante nel settore dei servizi finanziari globali, inclusi investimenti bancari, gestione patrimoniale e trading.

The Obbligazione issued by GOLDMAN SACHS GLOBAL CORP LTD ( Jersey ) , in USD, with the ISIN code XS2042706270, pays a coupon of 2.42% per year.
The coupons are paid 2 times per year and the Obbligazione maturity is 02/01/2031








(Issuer information)
(Issuer)
Goldman Sachs Finance Corp International Ltd
(Nationality)

(Industry)


(Bond information)




(Bond name)
Goldman Sachs Finance Corp

International Ltd USD
75,000,000 Callable Fixed Rate
Notes due January 2031
(Bond code)
F15309

(Short name)
P21GSFCI6

ISIN
XS2042706270

(Currency)


(Issue date)
2021.07.02

(Pricing date)
2021.06.01

(Tenor)
9.5


USD 75,000,000

(Amount of issuance)
(Issue price)
100


(Fixed)

(Coupon type)
(Floating)
(Zero coupon)

2022 7 2

(Details relating to interest
1 2 7 2
payment)


Not Applicable

(Early redemption)
Callable, non-call 1 X 0.5
Make-whole call



(Details relating to
1 2 7 2
redemption)


5
(Credit rating)


1








(Rating agency)
S&P / Moody's / Fitch

(Rating)
BBB+ / A2 / A


(Pricing information)




(Pricing date)
2021.06.01

(Interest) (A)
2.42%


10

(Benchmark)

1.6062%

(Benchmark at the pricing date) (B)

0.8138%

(Interest rate spread) (C)

(A)(B)(C)


(Notes)




This statement is provided solely by the Lead Manager; the Taipei Exchange ("the TPEx") is not responsible
for any of the content appearing in the document, and makes no statement regarding its accuracy or
completeness; and the TPEx bears no liability for any loss incurred due to the content of the document as a
whole or any of its parts, or due to any reliance on such content.

Goldman Sachs Finance Corp
International Ltd USD 75,000,000
Callable Fixed Rate Notes due January
2031






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