Thursday, 23 Mar 2017 05:43

Natixis 6,09% 01/11/2021

XS0137915384

TypeBond, Fixed rate
ISIN codeXS0137915384
Trading codeXS0137915384
Listing02/11/2001
Final maturity01/11/2021
Amount issued10 000 000 USD
ProgrammeDebt Issuance Programme
Redemption price100%
Issuer(s)NATIXIS
 47 QUAI D'AUSTERLITZ F-75648 PARIS CEDEX 13
 FRANCE
Communiqué - Avis de Presse22/04/2015
Communiqué - Avis de Presse08/10/2009
Communiqué - Avis de Presse02/01/2008
Communiqué - Avis de Presse23/05/2007
Close on 02/11/2001100 i %
Month Low-
Month High-
Year Low-
Year High-

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