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Bid / Ask
- / -
Price
100 i % (+0) 08/02/2010 15:04:09
Issuers
COMMERZBANK AG ALLEMAGNE
Trading information
Market BdL Market
Trading mode Multiple call auction
Group trading X5
Trading code XS0484842124
Trading Quantity / Amount FMT
Lot size 1 000 USD
Price in % yes
Liquidity provider
-
Security name
Commerzbank 2,875% 10-15 05/02 pe
ISIN
XS0484842124
Security information
Listing venue Luxembourg / BdL Market
Trading currency USD
Maturity date 05/02/2015
Security type Straight bond
Listing date 08/02/2010
Issue date 05/02/2010
Coupon
Interest rate 2.875
Type of interest Fixed rate
Reference rate (for booking rate) LIBOR
Coupon frequency Yearly
Next coupon paiement date 05/02/2011
First coupon paiement date 05/02/2011
Issue Size
Amount issued 20 000 000
Outstanding amount 20 000 000 (USD)
Nominal value 1 000 (USD)