Instrument type : Bonds

Market : Euronext Paris

Classification Financial Instrument

CFI:DBFUFN
D = Debt Instruments
B = Bonds
F = Fixed maturity
U = Unsecured/unguaranteed
N = Bearer/Registered

Issuer Information

Issuer name : HAVAS

Issuer Type : Other

Issuer country : FRA

Instrument Information

Issue Price 99.717
Denomination 100000.0
Repayment date 08/12/2020
Repayment type In fine

Trading Characteristics

Quantity notation FMT
Price notation In %
Trading Lot 100000
Trading Group 4C
Trading Type Continuous

Trading Hours

Continuous 09:00 - 17:30

Double auction 11:30 & 16:30 for bonds

Double auction 12:00 & 17:00 for convertible bonds

Coupon Information

Interest Rate 1.875%
Interest rate frequency Annual