Obbligazione NatWest Group 5.125% ( XS2258827034 ) in GBP

Emittente NatWest Group
Prezzo di mercato refresh price now   106.26 GBP  ▲ 
Paese  Regno Unito
Codice isin  XS2258827034 ( in GBP )
Tasso d'interesse 5.125% per anno ( pagato 4 volte l'anno)
Scadenza perpetue



La brochure del prospetto in formato PDF

Importo minimo /
Importo totale /
Coupon successivo 01/10/2026 ( In 36 giorni )
Descrizione dettagliata NatWest Group č una societā finanziaria britannica che offre una gamma completa di servizi bancari commerciali e al dettaglio, gestione patrimoniale e investimenti.

The Obbligazione issued by NatWest Group ( United Kingdom ) , in GBP, with the ISIN code XS2258827034, pays a coupon of 5.125% per year.
The coupons are paid 4 times per year and the Obbligazione maturity is perpetue
DateClean price
12/03/202698.97%
07/01/202699.47%
10/11/202599.07%
15/09/202598.50%
22/07/202598.06%
21/05/202596.75%
06/03/202596.47%
13/01/202594.58%
17/11/202495.23%
29/09/202495.48%
13/08/202493.75%
07/08/2024100.00%
07/05/202492.48%
29/08/202382.53%
05/08/202382.53%
12/07/202382.53%
18/06/202382.53%
25/05/202382.53%
01/05/202382.53%
07/04/202382.53%
14/03/202382.53%
20/02/202388.05%
30/01/202389.28%
08/01/202384.87%
07/01/2023106.24%
15/12/2022106.24%
22/11/2022106.24%
30/10/2022106.24%
09/10/2022106.24%
18/09/2022106.24%
28/08/2022106.24%
07/08/2022106.24%
17/07/2022106.24%
26/06/2022106.24%
05/06/2022106.24%
15/05/2022106.24%
24/04/2022106.24%
03/04/2022106.24%
13/03/2022106.24%
20/02/2022106.24%
30/01/2022106.24%
09/01/2022106.24%
19/12/2021106.24%
28/11/2021106.24%
07/11/2021106.24%
17/10/2021106.24%
26/09/2021106.24%
05/09/2021106.24%
15/08/2021106.24%
25/07/2021106.24%
04/07/2021106.24%
13/06/2021106.24%
23/05/2021106.24%
02/05/2021106.24%
11/04/2021106.24%
24/03/2021105.06%
07/03/2021104.95%
19/02/2021107.04%
03/02/2021106.26%