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Banque Federative Credit Mutuel FLR% 2020-01 GBP

Update! New bond issue: Banque Federative Credit Mutuel issued new debt notes (XS1747454632) for 300M GBP as of January 12, 2018. Tradable at Luxembourg Stock Exchange as of January 16, 2018. New tranche for 50M GBP with issue date January 30, 2018.

Banque Federative du Credit Mutuel is a French bank headquartered in Strasbourg. It is part of Credit Mutuel Group, a major French bank, with headquarters in Strasbourg, Alsace.

IssuerBanque Federative Credit Mutuel
Bond TypeCorporate
CategorySenior, Callable
Maturity DateJanuary 16, 2020
Residual Duration0 days
CurrencyGBP (British Pound)
Coupon TypeFloating Rate
Coupon (Yearly)0.230%+GBPLibor3M
Coupon FrequencyQuarterly
Minimum Lot100,000 GBP
Additional Lots100,000 GBP
Issue DateJanuary 16, 2018
Issued Amount300,000,000 GBP
Tranche Amount50,000,000 GBP
Issue Price99.962%
Maturity Price100.000%
Issuer RatingA stable (S&P), Aa3 stable (Moody's), A+ stable (Fitch)
Home ExchangeLuxembourg
Issue DocumentationIssue Prospectus
RegionEurope developed

Bonds, Corporate, Financials, Banking, Europe developed, France, GBP, Floating Rate, Income

Next Credit Suisse FSU% 2023-02 USD