Issue of up to USD 250,000,000 Fixed Step Up Rate Notes due 18 September 2023

ISIN: XS2039030908

Type de produit: Plain Vanilla

évolution du cours

Date
d’échéance

18/09/2023

Capital
garanti

100%

Devise

USD

Bid/Ask

/

Date
d’émission

18/09/2019

Caractéristiques du produit

Émetteur: Mediobanca
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Date d’émission: 18/09/2019
Date d’échéance: 18/09/2023
Valeur faciale minimale: 20,000
Coupon: Gross fixed cuopons equal to 2,00 per cent per annum for the first year, equal to 2,00 per cent per annum for the second year, equal to 2,10 per cent per annum for the third year and equal to 2,10 per cent per annum for the fourth year payable on 18 September of each year starting from and including 18 September 2020 up to and including the maturity date.
Prix
Maximum du jour: NaN
Maximum de l’année: NaN
Minimum du jour: NaN
Minimum de l’année: NaN
Performance
Bid: NaN
Ask: NaN
Dernière mise à jour: