Security (XS2971102764)
B
SGIssuer 16/05/2028 Swap Rate
Tradable
Euro MTF
Bond
Structured product
EUR
XS2971102764
Continuous trading
97,11 i %
10/04/26 13:42:11
Overview
Market
Documents
Issuer
Programme
Reference data
- Issue type
- Structured product
- Issued amount
- 8.000.000 EUR
- Listing date
- 16/05/2025
- First trading date
- 16/05/2025
- Final maturity
- 16/05/2028
- Redemption price
- 100
Notices