XXX

IberdrolaFinanz 1,782% 30/10/2030

No trades
See on Supercharts
Overview
Analysis

Key terms


Outstanding amount
‪110.00 M‬EUR
Face value
100,000.00EUR
Minimum denomination
100,000.00EUR
Coupon
1.78% (Fixed)
Coupon frequency
Annual
Yield to maturity
1.78%
Maturity date
Oct 30, 2030
Term to maturity
6 years

About IberdrolaFinanz 1,782% 30/10/2030


Issuer
Iberdrola Finanzas SAU
Sector
Finance
Industry
Finance/Rental/Leasing
Issue date
May 10, 2017
ISIN
XS1610777556
FIGI
BBG00GM9Z2S7
Iberdrola Finanzas SA engages in issues debt securities traded on the Spanish and international markets. The company is headquartered in Bilbao, Spain.
Advanced bond data for paid plans
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.