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EBRD FLR% 2020-03 USD

Update! New bond issue: EBRD issued new debt notes (US29874QDB77, 29874QDB7) for 675M USD as of March 23, 2017. Tradable at London Stock Exchange as of March 23, 2017. New tranche for 50M USD with issue date October 24, 2018.

The European Bank for Reconstruction and Development (EBRD) is an international financial institution. EBRD uses investment as a tool to build market economies. It invests mainly in private enterprises together with commercial partners. It is headquartered in London, United Kingdom.

IssuerEuropean Bank Reconstruction Development
Bond TypeGovernmental
CategorySenior
Maturity DateMarch 23, 2020
Residual Duration0 days
CurrencyUSD (United States Dollar)
Coupon TypeFloating Rate
Coupon (Yearly)USDLibor3M
Coupon FrequencyQuarterly
Minimum Lot1,000 USD
Additional Lots1,000 USD
Issue DateMarch 23, 2017
Issued Amount675,000,000 USD
Tranche Amount50,000,000 USD
Maturity Price100.000%
Issuer RatingAAA stable (S&P), Aaa stable (Moody's), AAA stable (Fitch)
Home ExchangeLondon
IsinUS29874QDB77
Cusip29874QDB7
IndustrySupranational Institutions
SectorSupranationals
CountryInternational Institutions
RegionInternationals


Bonds, Governmental, Supranationals, Supranational Institutions, Internationals, International Institutions, USD, Floating Rate, Income


Next EBRD FLR% 2020-01 USD

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