Tuesday, 06 Dec 2016 01:45

Panama 8,875% 30/09/2027

US698299AD63

TypeBond, Fixed rate
ISIN codeUS698299AD63
Trading codeUS698299AD63
Listing30/09/1997
Final maturity30/09/2027
Amount issued975 000 000 USD
Redemption price100%
Issuer(s)PANAMA (THE REPUBLIC OF)
 MINISTERIO DE ECONOMICA Y FINANZAS DIR. DE CRED. PUBL.,VIA ESPANA Y CALLE 52,ED.OGAWA PANAMA PANAMA
 PANAMA
Avis offre ├ęchange10/01/2006
Close on 05/12/2016137.553 i %
Month Low137.085
Month High137.695
Year Low137.085
Year High151.757

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