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Generieke informatie
Soort | Bonds |
Sub type | Supranational/Agency |
Markt | MOT |
ISIN Code | XS3003426635 |
Euronext Code | NSCIT0034263 |
Classification Financial Instrument
CFI:DBZF |
D = Debt Instruments |
B = Obligaties |
Z = Zero rate/discounted |
F = Fixed maturity |
Issuer Information
Issuer name : AIIB
Issuer Type : Andere
Issuer country : CHN
Instrument informatie
Issue Price | 13.7 |
Total number | 50 000 |
Denomination | 100000 |
Datum uitgegeven | 21/02/2025 |
Repayment date | 21/02/2045 |
Repayment type | In fine |
Handelskenmerken
First listing | 06/03/2025 |
Hoeveelheidsnotatie | FMT |
Price notation | In % |
Handelseenheid | 100000 |
Handelsgroep | 73 |
Handelstype | Continuous |
Tick size | Index 42 |
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
Rentepercentage | 0.0% |
Frequentie van de rentevoet | Zero coupon |