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Bond GSK Capital BV 2.875% ( XS2933691433 ) in EUR

Issuer

GSK Capital BV

Market price

98.8 %   ▲ 

Country

 United Kingdom

ISIN code

  XS2933691433( in EUR )

Interest rate

2.875 % per year ( payment 1 time a year)

Maturity

18/11/2031

 

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