Sustainable Information
| Official Close | 99.6517 |
| Official Close Date | 25/12/12 |
| Interest Rate | |
| Opening | 99.91 |
| Last Volume | 15,000 |
| Total Quantity | 15,000 |
| Number Trades | 1 |
| Day Low | 99.91 |
| Day High | 99.91 |
| Year Low | 98.85 |
| Year High | 101.46 |
| Gross yield to maturity | 2.56 |
| Net yield to maturity | 2.24 |
| Gross accrued interest | 1.68493 |
| Net accrued interest | 1.47431 |
| Modified Duration | 3.99 |
| Reference price | 99.74 |
| Reference price date | 15/12/2025 |
Instrument Info
| Isin Code | FI4000577952 |
| Issuer | REPUBLIC OF FINLAND |
| Guarantor | - |
| Seniority | N |
| Tipology | Foreign Public Debt |
| Bond Structure | Plain Vanilla |
| Outstanding | 4,000,000,000 |
| Lot Size | 1,000 |
| Negotiation Currency/ Settlement currency | EUR/EUR |
| Market | MOT |
| Clearing/Settlement | CC&G/Euroclear and Clearstream Banking Lussemburgo |
| First Day of Trading | 24/08/30 |
| Denomination | Finland Fx 2.5% Apr30 Eur |
| Instrument ID | 3105172 |
| Interest Commencement Date | 24/08/27 |
| First Coupon Date | 24/08/27 |
| Expiry Date | 30/04/15 |
| Coupon Frequency | Annually |
| Trading Type | Clean |
| Day Count Convention | ACT/ACT (AFB) |
| Periodic Coupon Rate | |
| Annual Coupon Rate | 2.50 |
| Payout Description | The coupon amount, paid on a annually basis, is equal to 2.5% of the nominal value of the bond. |