Liste d'obligations internationales ( Toutes )
Société émettrice | Code ISIN | Devise | Coupon | Montant minimal | Maturité | Prix sur le marché | |
NatWestCorp PLC | XS0753308559 | USD | 9.5% | 1 000 USD | 15/03/2022 | Echue | |
NatWestCorp PLC | US780099CH81 | USD | 5.125% | 100 000 USD | 27/05/2024 | Echue | |
NatWestCorp PLC | US78009PEH01 | USD | 5.076% | 200 000 USD | 26/01/2030 | 100.662 | |
NatWestCorp PLC | XS1575979148 | EUR | 2% | 100 000 EUR | 07/03/2023 | Echue | |
NatWestCorp PLC | US780097BN03 | USD | 2.359% | 200 000 USD | 21/05/2024 | Echue | |
NatWestCorp PLC | US780097BP50 | USD | 3.073% | 200 000 USD | 21/05/2028 | 100 | |
NatWestCorp PLC | US780097BQ34 | USD | 6% | 200 000 USD | Perpétuelle | 100 | |
NatWestCorp PLC | XS1382368113 | EUR | 2.5% | 100 000 EUR | 21/03/2023 | Echue | |
NatWestCorp PLC | XS1970533219 | GBP | 3.125% | 100 000 GBP | 27/03/2027 | 100 | |
NatWestCorp PLC | XS2382950330 | EUR | 1.043% | 100 000 EUR | 13/09/2032 | 100 | |
NatWestCorp PLC | XS0363669408 | EUR | 5.25% | 14/05/2013 | Echue | ||
NatWestCorp PLC | CA780097AT83 | CAD | 6.666% | 100 000 CAD | Perpétuelle | 100 | |
NatWestCorp PLC | XS2592628791 | EUR | 5.763% | 100 000 EUR | 27/02/2034 | 100 | |
NatWestCorp PLC | US780099CE50 | USD | 6.125% | 2 000 USD | 14/12/2022 | Echue | |
NatWestCorp PLC | XS2871577115 | EUR | 3.673% | 04/08/2031 | 100 |