Sustainable Information
Official Close | 95.68 |
Official Close Date | 24/11/20 |
Interest Rate | |
Opening | |
Last Volume | |
Total Quantity |
Number Trades | |
Day Low | |
Day High | |
Year Low | |
Year High |
Gross yield to maturity | 2.7 |
Net yield to maturity | 2.32 |
Gross accrued interest | 0.38801 |
Net accrued interest | 0.28713 |
Modified Duration | 5.37 |
Reference price | 93.07 |
Reference price date | 21/11/2024 |
Instrument Info
Isin Code | XS1769041192 |
Issuer | NOVARTIS FINANCE |
Guarantor | - |
Seniority | N |
Tipology | Corporate |
Bond Structure | Plain Vanilla |
Outstanding | 750,000,000 |
Lot Size | 100,000 |
Negotiation Currency/ Settlement currency | EUR/EUR |
Market | Euronext Access Milan Professional Segment PM |
Clearing/Settlement | -/Euroclear and Clearstream Banking Lussemburgo |
First Day of Trading | 18/02/27 |
Denomination | Novartis Fin Tf 1,375% Ag30 Call Eur |
Instrument ID | 832665 |
Interest Commencement Date | 18/02/14 |
First Coupon Date | 18/02/14 |
Expiry Date | 30/08/14 |
Coupon Frequency | Annually |
Trading Type | Clean |
Day Count Convention | ACT/ACT (PERIODIC BASIS) |
Periodic Coupon Rate | 1.375 |
Annual Coupon Rate | 1.375 |
Payout Description |