All Data

Bid Quantity Bid Price Ask Price Ask Quantity
50,000 98.75 100.49 30,000
100.50 50,000
15 Minutes Delayed Data  
Name Gsi - Fix Float 31mg26
ISIN code XS1810736758
Last trade price
Last contract quantity
Date and time
Var %
Method of execution ORDER BOOK
Reference price 99.50
Daily quantity
Daily turnover
Minimum 97.71
Maximum 103.65
Lot size 1,000
Trading hours 9:00 17:30
Issuer Goldman Sachs International
Category Financial Bonds
Maturity 05/31/2026
Trading currency EUR
Periodic Coupon Rate 2.396
Annual Coupon Rate 2.396
Coupon frequency 12 Months
Trading Type Clean
Legenda


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