Wednesday, 18 Jan 2017 07:29

BIL 2% 18/02/2023

XS1190709961

TypeBond, Fixed rate
ISIN codeXS1190709961
Trading codeXS1190709961
Listing18/02/2015
Final maturity18/02/2023
Amount issued2 000 000 EUR
ProgrammeProgramme for the Issue of Euro Medium Term Notes and Warrants (Exempt Notes & Exempt Warrants included)
Redemption price100%
Issuer(s)BANQUE INTERNATIONALE A LUXEMBOURG S.A.
 69, route d'Esch L-2953 LUXEMBOURG
 LUXEMBOURG
Final terms (Pricing supplement)18/02/2015
Prospectus de base Programme28/05/2014
Document incorporé par référence28/05/2014
Document incorporé par référence28/05/2014
Document incorporé par référence04/09/2014

 47 additionnal documents...

Close on 09/03/2016106.749 i %
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