Security (XS2044993066)
B
CitigroupGlobMa 27/11/2035 Swap Rate
Tradable
Euro MTF
Bond
Structured product
EUR
XS2044993066
Closed phase
108,75 i %
02/10/19 14:50:45
Overview
Market
Documents
Issuer
Programme
Reference data
- Issue type
- Structured product
- Issued amount
- 30.000.000 EUR
- Listing date
- 02/10/2019
- First trading date
- 02/10/2019
- Final maturity
- 27/11/2035
- Periodicity
- Yearly
- Redemption price
- 100
Notices