GENERAL INFORMATION

Instrument Type BOND
Market Euronext Dublin

INSTRUMENT INFORMATION

ISIN Code XS1639913067
Status Listed
Währung EUR
Redemption Date 29/06/2063
Interest Payment Date 29/06/2018
Amount Listed 100 000 000
Ex Dividend

ISSUER INFORMATION

Issuer Name IRISH GOVERNMENT BONDS
Issuer Type
Issuer Country Ireland

COUPON INFORMATION

Interest Rate 2%
Interest rate frequency Annual