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OUTSTANDING ISSUES >
BON DP ALEMANIA- 0,250 08/2028
File
Flows
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Prices
Graph
Prospectus
ISIN
Type of Asset
Issuer
Issue Date
Maturity Date
Nominal Value
Currency
Guaranteed
DE0001102457
BONO DEL TESORO
DP ALEMANIA
13/07/2018
15/08/2028
1,000.00
EUR
No
Payment Bank
Managers
Last Price
Last Price Date
SETTLEMENT
VOLUME
Coupon payment periodicity
Anual
Total listed
4,000,000,000
Variable rate reference
Outstanding Volume
4,000,000,000
Rate Term
0
Final redemption
15/08/2028
Margin/Currency over reference
0
Redemption type
Fija
Put/Call
No / No
Coupon mode
Fijo
Next Put/Call
Coupon rate (current)
0.250000%
Trade type
ExCupón
Price or Yield
Precio
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