
GENERAL INFORMATION
Instrument Type | BOND |
Mercado | Euronext Dublin |
INSTRUMENT INFORMATION
ISIN Code | IE00B7TN5929 |
Estado | Listed |
Moeda | EUR |
Redemption Date | 20/09/2047 |
Interest Payment Date | - |
Amount Listed | 44 140 000 |
Ex Dividend |
ISSUER INFORMATION
Issuer Name | IRISH GOVERNMENT BONDS |
Issuer Type | |
Issuer Country | Ireland |
COUPON INFORMATION
Taxa de Juro | 5.92% |
Freqüência da taxa de juros | Annual |