Sustainable Information

Official Close 103.95
Official Close Date 25/12/04
Interest Rate SWAP 1Y
Opening 103.15
Last Volume 5,000
Total Quantity 5,000
Number Trades 1
Day Low 103.15
Day High 103.15
Year Low 98.75
Year High 104.22
Legenda
Gross yield to maturity 3.75
Net yield to maturity 2.65
Gross accrued interest 2.29583
Net accrued interest 1.69891
Modified Duration 1.33
Reference price 103.13
Reference price date 05/12/2025
Legenda Data provided by Skipper Informatica Srl
Number Trades: 1   Total Quantity: 5,000
16:23:51 103.15 -0.50%

Instrument Info

Isin Code XS3033981393
Issuer GOLDMAN SACHS FIN CORP INT
Guarantor GOLDMAN SACHS GROUP
Seniority N
Tipology Corporate
Bond Structure Structured Interest Rate
Outstanding 80,000,000
Lot Size 100
Negotiation Currency/ Settlement currency USD/USD
Market MOT
Clearing/Settlement CC&G/Euroclear and Clearstream Banking Lussemburgo
First Day of Trading 25/09/15
Denomination Gs Fin Corp Mc Sep35 Call Usd
Instrument ID 3656309
Interest Commencement Date 25/09/12
First Coupon Date 25/09/12
Expiry Date 35/09/12
Coupon Frequency Annually
Trading Type Clean
Day Count Convention 30E/360 - (30/360 ISMA)
Periodic Coupon Rate
Annual Coupon Rate 9.50
Payout Description The bonds bear annual interest payable annualy 12 Sep in each year equal to: 9.5% payable from and including Set 26 to and including Sep 27 ,6.5% minus USD Swap1yr payable from and including Setp 28 to and including the Maturity Date. The rate is observed 5 business days prior the commencement of each Floating Interest Period

Quotes, Book, Characteristics and Regulations for the Euro-Bonds Gs Fin Corp Mc Sep35 Call Usd


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