Obligation BPCE 0.625% ( FR0013403862 ) en EUR

Société émettrice BPCE
Prix sur le marché refresh price now   105.95 %  ▲ 
Pays  France
Code ISIN  FR0013403862 ( en EUR )
Coupon 0.625% par an ( paiement annuel )
Echéance 22/09/2027



Prospectus brochure sous format PDF

Montant Minimal /
Montant de l'émission /
Prochain Coupon 22/09/2026 ( Dans 25 jours )
Description détaillée Deuxième groupe bancaire en France, regroupant les réseaux Banque Populaire et Caisse d'Épargne.

L'obligation FR0013403862 émise par BPCE en EUR, affichant un taux d'intérêt de 0,625% et une maturité fixée au 22 septembre 2027, se négocie actuellement à 100% du nominal, avec des paiements d'intérêts annuels.
DateClean price
07/08/2024100.00%
09/07/2024100.00%
08/07/2024100.00%
21/11/202390.23%
06/08/2023105.50%
13/07/2023105.50%
19/06/2023105.50%
26/05/2023105.50%
02/05/2023105.50%
08/04/2023105.50%
15/03/2023105.50%
20/02/2023105.50%
28/01/2023105.50%
05/01/2023105.50%
13/12/2022105.50%
20/11/2022105.50%
28/10/2022105.50%
07/10/2022105.50%
16/09/2022105.50%
26/08/2022105.50%
05/08/2022105.50%
15/07/2022105.50%
24/06/2022105.50%
03/06/2022105.50%
13/05/2022105.50%
22/04/2022105.50%
01/04/2022105.50%
11/03/2022105.50%
18/02/2022105.50%
28/01/2022105.50%
07/01/2022105.50%
17/12/2021105.50%
26/11/2021105.50%
05/11/2021105.50%
15/10/2021105.50%
24/09/2021105.50%
03/09/2021105.50%
13/08/2021105.50%
23/07/2021105.50%
02/07/2021105.50%
11/06/2021105.50%
21/05/2021105.50%
30/04/2021105.50%
09/04/2021105.50%
22/03/2021105.57%
06/03/2021105.05%
17/02/2021105.91%
02/02/2021106.52%
20/01/2021106.18%
08/01/2021106.73%
29/12/2020106.82%
13/12/2020106.66%
29/11/2020106.37%
15/11/2020106.86%
02/11/2020107.09%
24/10/2020106.96%
16/10/2020107.23%
08/10/2020106.82%
01/10/2020106.66%
23/09/2020106.20%
16/09/2020106.66%
09/09/2020106.62%
01/09/2020105.96%
24/08/2020106.59%
16/08/2020106.12%
08/08/2020106.48%
01/08/2020106.62%
24/07/2020106.19%
17/07/2020106.26%
09/07/2020106.03%
01/07/2020106.26%
23/06/2020106.10%
15/06/2020105.95%