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Natixis ZC% 2048-04 USD

New bond issue: Natixis (PEX:KN) issued new debt notes (XS1737179546) for 140M USD as of April 20, 2018. Tradable at Taiwan Stock Exchange as of April 20, 2018.

Natixis is a French corporate and investment bank headquartered in Paris.

IssuerNatixis
Stock (Group)PEX:KN
Bond TypeCorporate
CategorySenior, Callable
Maturity DateApril 20, 2048
Residual Duration27 years, 4 months, 26 days
CurrencyUSD (United States Dollar)
Coupon TypeZero Coupon
Coupon (Yearly)0.000%
Coupon FrequencyNone
Minimum Lot200,000 USD
Additional Lots200,000 USD
Issue DateApril 20, 2018
Issued Amount140,000,000 USD
Maturity Price100.000%
Issue Yield4.600%
Issuer RatingA positive (S&P), A2 positive (Moody's), A positive (Fitch)
Home ExchangeTaipei
IsinXS1737179546
IndustryBanking
SectorFinancials
CountryFrance
RegionEurope developed


Bonds, Corporate, Financials, Banking, Europe developed, France, USD, Zero Coupon, Accumulation


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