All Data

Bid Quantity Bid Price Ask Price Ask Quantity
5,000 98.11 98.51 5,000
2,000 98.10 98.60 5,000
43,000 98.09 98.61 5,000
20,000 97.59 98.70 5,000
10,000 97.58 98.71 5,000
15 Minutes Delayed Data  
Name Gs - Fix To Euribor Cap 31ag28
ISIN code XS1610690197
Last trade price
Last contract quantity
Date and time
Var %
Method of execution ORDER BOOK
Reference price 98.10
Daily quantity
Daily turnover
Minimum 94.91
Maximum 99.18
Lot size 1,000
Trading hours 9:00 17:30
Issuer The Goldman Sachs Group, Inc.
Category Financial Bonds
Maturity 08/31/2028
Trading currency EUR
Periodic Coupon Rate 0.55275
Annual Coupon Rate 2.211
Coupon frequency 3 Months
Trading Type Clean
Legenda


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