All Data

Bid Quantity Bid Price Ask Price Ask Quantity
50,000
49,000 98.95
15 Minutes Delayed Data  
Name Citigroup Gm Fr Eur3m+0.1% Mar26 Eur
ISIN code XS2709281450
Last trade price
Last contract quantity
Date and time
Var %
Method of execution ORDER BOOK
Reference price 98.95
Daily quantity
Daily turnover
Minimum 98.95
Maximum 102.38
Lot size 1,000
Trading hours 9:00 17:30
Issuer Citigroup Global Markets Holdings Inc
Category Other Debt Instruments
Maturity 03/04/2026
Trading currency EUR
Periodic Coupon Rate 1.0875
Annual Coupon Rate 2.175
Coupon frequency 6 Months
Trading Type Clean
Legenda


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