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Generieke informatie

Soort Bonds
Sub type Miscellaneous Credit Linked
Markt Euronext Amsterdam
ISIN Code US136447AW96
Euronext Code US136447AW96

Classification Financial Instrument

CFI:DBFUP
D = Debt Instruments
B = Obligaties
F = Fixed rate
U = Unsecured/unguaranteed
P = Perpetual

Issuer Information

Issuer name : CANADIAN PACIFIQUE

Issuer Type : Andere

Issuer country : CAN

Instrument informatie

Issue Price 78.0
Total number 0
Denomination 100
Datum uitgegeven 31/12/1988
Repayment type Perpetual bond

Handelskenmerken

First listing 02/07/2001
Hoeveelheidsnotatie FMT
Price notation In %
Handelseenheid 100
Handelsgroep L8
Handelstype Continuous
Tick size Index 03

Handelstijden

Continuous 09:00 - 17:30

Double auction 11:30 & 16:30 for bonds
Double auction Oslo 09:00 & 16:00

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

Coupon Information

Type of Interest/ref. Index Fixed rate
Rentepercentage 4.0%
Frequentie van de rentevoet Half yearly
Previous gross coupon(USD) 2.0
Previous net coupon(USD) 2.0
Coupon Previous date 01/07/2011