22.09.2022
Maturity date
22.09.2021 In 156 days
Expected next coupon payment date
19.04.2021
22.09.2020
Last coupon paid
04.07.2002
Issue date
Code | Instrument name | Price | Maturity | Type | Documentation |
---|---|---|---|---|---|
BC18 | 5.875% BDS 2022 £(VAR)(BR) | 107.25 GBP | 22.09.22 | Bonds | - |
17RM | 2.375% NTS 10/02/22 | - EUR | 10.02.22 | Bonds | - |
17ZV | CAP SEC A | - EUR | - | Bonds | - |
17ZW | CAP SEC B | - GBP | - | Bonds | - |
4VCM | 1.750% NTS 16/04/30 | - EUR | 16.04.30 | Bonds | - |
51QP | 1.375% NTS 04/09/27 | - EUR | 04.09.27 | Bonds | - |
62DB | CAP SECS 16/09/77 | - USD | 16.09.77 | Bonds | - |
62EH | CAP SECS 16/09/77 | - GBP | 16.09.77 | Bonds | - |
Maturity date
Expected next coupon payment date
Last coupon paid
Issue date
Date | Time | Price | Currency | Volume | Trade Value | Trade type | Trade flag | MIC |
---|---|---|---|---|---|---|---|---|
13.04.21 | 14:28:41 | 106.08 | GBP | 5,000 | 5,303.80 | Off-Book | N ILQD | XLON |
01.04.21 | 13:50:16 | 108.77 | GBP | 6,000 | 6,526.38 | Off-Book | N ILQD | XLON |
30.03.21 | 08:42:00 | 108.85 | GBP | 10,000 | 10,885.00 | Off-Book | N ILQD | XLON |
26.03.21 | 10:39:44 | 106.35 | GBP | 8,000 | 8,507.60 | Off-Book | N ILQD | XLON |
22.03.21 | 15:45:02 | 109.00 | GBP | 1,000 | 1,089.96 | Off-Book | N ILQD | XLON |
Headline | Source | Date | Time |
---|---|---|---|
RNS 09 April 2021 11:22:34 | RNS | 09.04.21 | 11:22:34 |
RNS 01 April 2021 15:32:39 | RNS | 01.04.21 | 15:32:39 |
RNS 01 April 2021 07:00:07 | RNS | 01.04.21 | 07:00:07 |
RNS 31 March 2021 16:48:30 | RNS | 31.03.21 | 16:48:30 |
RNS 30 March 2021 07:00:06 | RNS | 30.03.21 | 07:00:06 |
RNS 24 March 2021 12:37:42 | RNS | 24.03.21 | 12:37:42 |