Saturday, 01 Oct 2016 05:10

Vietnam 4% 12/03/2028

XS0085134145

TypeBond, Fixed rate
ISIN codeXS0085134145
Trading codeXS0085134145
Listing12/03/1998
Final maturity12/03/2028
Amount issued197 749 735.2 USD
Redemption price-
Issuer(s)VIETNAM (THE SOCIALISTIC REPUBLIC OF)
 47-49 LY THAI TO ST.VN- HANOI VIET NAM
 VIETNAM
Prospectus10/03/1998
Close on 27/09/201698.5 i %
Month Low98.5
Month High98.5
Year Low96.75
Year High98.5

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