OAT 3.20% 25 May 2035

子债券
TREASURY BONDS (OBLIGATIONS ASSIMILABLES DU TRÉSOR - OAT)
ISIN码
FR001400X8V5
债券性质
Nominal, fixed rate
发行货币
Euro
面值
1 Euro
到期
偿还
Redeemed at par on maturity date
票息
3.20%
利息
Annual, paid on 25 May of each year
Calculation basis: ACT/ACT
收益日
发行程序
“Dutch” auctions
债券创立法令

Decree of 31 January 2025 NOR: ECOT2503297A (French only, no English version)

法律特点
RegS, 144A

Like all euro area bonds, the bonds issued after 1 January 2013 have collective action clauses (CACs), which means that they are not fungible with bonds issued prior to this date.
可分离
yes
总额历史概览
日期
交易类型
Adjudication
发行总额
8 641 000 000
加权平均价格
100.47
加权平均利率
3.15
金额 *
8 641 000 000