NATWEST GROUP PLC 2.105%-FRN LT2 EMTN 28/11/2031NATWEST GROUP PLC 2.105%-FRN LT2 EMTN 28/11/2031NATWEST GROUP PLC 2.105%-FRN LT2 EMTN 28/11/2031

NATWEST GROUP PLC 2.105%-FRN LT2 EMTN 28/11/2031

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Key terms


Outstanding amount
‪1.00 B‬GBP
Face value
1,000.00GBP
Minimum denomination
100,000.00GBP
Coupon
2.11% (Variable)
Coupon frequency
Semi-annual
Yield to maturity
3.81%
Maturity date
Nov 28, 2031
Term to maturity
7 years

About NATWEST GROUP PLC 2.105%-FRN LT2 EMTN 28/11/2031


Sector
Finance
Industry
Major Banks
Home page
Issue date
May 28, 2021
ISIN
XS2346516250
FIGI
BBG0116VK8K9
NatWest Group Plc engages in the provision of international banking and financial services. It operates through the following segments: Retail Banking, Private Banking, Commercial and Institutional, and Central Items and Other. The Retail Banking segment provides a comprehensive range of banking products and related financial services including current accounts, mortgages, personal unsecured lending, and personal deposits. The Private Banking segment focuses on the private banking and wealth management services to UK-connected high-net-worth individuals. The Commercial and Institutional segment includes expertise and tailored solutions needed by businesses, from entrepreneurs through to large corporate organizations. The Central Items and Other segment refer to the corporate functions, such as treasury, finance, risk management, compliance, legal, communications and human resources. The company was founded on March 25, 1968 and is headquartered in Edinburgh, the United Kingdom.
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