Sunday, 25 Sep 2016 02:17

Commerzbank 5,2% 01/03/2029

XS0094653325

TypeBond, Fixed rate
ISIN codeXS0094653325
Trading codeXS0094653325
Listing01/03/1999
Final maturity01/03/2029
Amount issued9 500 000 EUR
ProgrammeDebt Issuance Programme
Redemption price457.585%
Issuer(s)COMMERZBANK AG
 KAISERPLATZ D-60311 FRANKFURT AM MAIN
 GERMANY
Publication12/05/2009
Close on 06/09/2016146.78 i %
Month Low146.78
Month High146.78
Year Low132.89
Year High146.78

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