Wednesday, 18 Jan 2017 03:00

Natixis FRN 30/11/2019

XS0204242225

TypeBond, Floating rate
ISIN codeXS0204242225
Trading codeXS0204242225
Listing30/11/2004
Final maturity30/11/2019
Amount issued15 000 000 EUR
ProgrammeMedium Term Notes and other Debt Instruments Programme
Redemption price100%
Issuer(s)NATIXIS
 30 AVENUE PIERRE MENDES FRANCE F-75013 PARIS
 FRANCE
Final terms (Pricing supplement)26/11/2004
Prospectus de base Programme15/06/2004
Prospectus de base Programme05/09/2013
Supplément de prospectus06/08/2014
Supplément de prospectus26/03/2014

 24 additionnal documents...

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