Obligation NatWest Markets PLC 1% ( XS2002491517 ) en EUR

Société émettrice NatWest Markets PLC
Prix sur le marché 103.31 %  ▲ 
Pays  Royaume-Uni
Code ISIN  XS2002491517 ( en EUR )
Coupon 1% par an ( paiement annuel )
Echéance 27/05/2024 - Obligation échue



Prospectus brochure sous format PDF

Montant Minimal 100 000 EUR
Montant de l'émission 1 250 000 000 EUR
Description détaillée NatWest Markets plc est la division de marchés de gros de NatWest Group, offrant des services de banque d'investissement, de négociation et de gestion des risques à une clientèle institutionnelle mondiale.

L'Obligation émise par NatWest Markets PLC ( Royaume-Uni ) , en EUR, avec le code ISIN XS2002491517, paye un coupon de 1% par an.
Le paiement des coupons est annuel et la maturité de l'Obligation est le 27/05/2024
DateClean price
07/08/2024100.00%
23/11/202398.43%
07/08/2023103.45%
14/07/2023103.45%
20/06/2023103.45%
27/05/2023103.45%
03/05/2023103.45%
09/04/2023103.45%
16/03/2023103.45%
21/02/2023103.45%
29/01/2023103.45%
06/01/2023103.45%
14/12/2022103.45%
21/11/2022103.45%
29/10/2022103.45%
08/10/2022103.45%
17/09/2022103.45%
27/08/2022103.45%
06/08/2022103.45%
16/07/2022103.45%
25/06/2022103.45%
04/06/2022103.45%
14/05/2022103.45%
23/04/2022103.45%
02/04/2022103.45%
12/03/2022103.45%
19/02/2022103.45%
29/01/2022103.45%
08/01/2022103.45%
18/12/2021103.45%
27/11/2021103.45%
06/11/2021103.45%
16/10/2021103.45%
25/09/2021103.45%
04/09/2021103.45%
14/08/2021103.45%
24/07/2021103.45%
03/07/2021103.45%
12/06/2021103.45%
22/05/2021103.45%
01/05/2021103.45%
10/04/2021103.41%
24/03/2021103.44%
08/03/2021103.29%
20/02/2021103.35%
04/02/2021103.43%
22/01/2021103.55%
10/01/2021103.56%
31/12/2020103.31%