Issuer(s) : GOLDMAN SACHS INTERNATIONAL BANK
Programme :Certificates of Deposit Programme
Max. amount :Unlimited
Start date :03/03/2017 
End date :03/03/2018 

Tranches


CodeSecurityStart/End datePriceYield
-GoldmaSachIntBk-
-
--
XS1591762072GoldmaSachIntBk 0,001% 29/03/201831/03/2017
29/03/2018
31/03/2017100 i %-
XS1598370176GoldmaSachIntBk 0,02% 12/04/201813/04/2017
12/04/2018
13/04/2017100 i %-
XS1587232395GoldmaSachIntBk 0,32% 23/06/201723/03/2017
23/06/2017
23/03/2017100 i %-
XS1590496474GoldmaSachIntBk 0,35% 30/06/201730/03/2017
30/06/2017
30/03/2017100 i %-
XS1586965417GoldmaSachIntBk 0,4% 23/06/201723/03/2017
23/06/2017
23/03/2017100 i %-
XS1591623548GoldmaSachIntBk 0,69% 30/11/201731/03/2017
30/11/2017
31/03/2017100 i %-
XS1551006304GoldmaSachIntBk 0,77% 11/01/201812/01/2017
11/01/2018
12/01/2017100 i %-
XS1525641715GoldmaSachIntBk 0,8% 21/11/201722/11/2016
21/11/2017
22/11/2016100 i %-
XS1559515595GoldmaSachIntBk 0,86% 29/01/201830/01/2017
29/01/2018
30/01/2017100 i %-
XS1413609733GoldmaSachIntBk 0,965% 12/05/201713/05/2016
12/05/2017
13/05/2016100 i %-
XS1426858509GoldmaSachIntBk 1,01% 31/05/201701/06/2016
31/05/2017
01/06/2016100 i %-
XS1587234250GoldmaSachIntBk 1,2% 23/06/201723/03/2017
23/06/2017
23/03/2017100 i %-
XS1590478498GoldmaSachIntBk 1,2% 29/06/201729/03/2017
29/06/2017
29/03/2017100 i %-
XS1433228407GoldmaSachIntBk 1,315% 09/06/201710/06/2016
09/06/2017
10/06/2016100 i %-
XS1560909993GoldmaSachIntBk FRN 02/02/201803/02/2017
02/02/2018
03/02/2017100 i %-
XS1560957372GoldmaSachIntBk FRN 02/02/201803/02/2017
02/02/2018
03/02/2017100 i %-
XS1518945180GoldmaSachIntBk FRN 09/11/201710/11/2016
09/11/2017
10/11/2016100 i %-
XS1588910775GoldmaSachIntBk FRN 26/03/201827/03/2017
26/03/2018
27/03/2017100 i %-
XS1588587383GoldmaSachIntBk FRN 26/03/201827/03/2017
26/03/2018
27/03/2017100 i %-
XS1403401208GoldmaSachIntBk FRN 27/04/201728/04/2016
27/04/2017
28/04/2016100 i %-