CITIGROUP 1,75% 28/01/2025

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ISIN
XS1173792059
Data
23/07/2024 - 3:22am

Info Strumento

Field Value
Citigroup Inc
XS1173792059
CITIGROUP 1,75% 28/01/2025
Bnk Fin. Bond
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Fixed rate
1Y
1,75
28/01/2015 28/09/2022 23/01/2025 28/01/2025 28/01/2016 1250000000 -

Regolamento

Automatic International with Central Counterpart EUROCLEAR/CLEARSTREAM GAR EUR 24/07/2024 Secco 30/360

Parametri

XS1173792059 CITIGROUP 1,75% 28/01/2025 96,04 - 101,979 97,525 - 100,494 99,0095 9:00 17:30 Active
Banco BPM S.p.A.
MifidII
50000 BFB