medium-term note

NATIXIS STRUCTURED ISSUANCE SA 0.0% 2031

Pricing

Price

Yield To Maturity

Duration

Last Trade Date

Identifiers

ISIN

XS2269741307

Figi

BBG014FCKRW0

Features

Currency

GBP

Coupon

0.0

Maturity Date

2031-11-26

Interest Type

Zero Rate / Discount Rate

Maturity Type

Fixed

Callable

False

Issued Amount

0.0

Issuer info

Issuer

NATIXIS STRUCTURED ISSUANCE SA

Country

Luxembourg

Issuer Type

Corporate

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Trade data is collected from publicly available MiFID II post-trade reports from European venues. Prices and volumes are updated daily.

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