Pricing
Price
100.0
Yield To Maturity
20.0
Duration
3.12
Last Trade Date
2023-02-01
Identifiers
ISIN
XS2482268112
Figi
BBG01BN9GNN6
Ticker
GS 0 02/08/27 000G
Features
Currency
EUR
Coupon
20.0
Maturity Date
2027-02-08
Interest Type
Fixed Rate
Maturity Type
Fixed
Callable
False
Puttable
False
Min Increment
1,000
Issued Amount
30,000,000
Rank
Senior Unsecured
Registration Type
Registered
Issuer info
Issuer
GOLDMAN SACHS FINANCE CORP INTERNATIONAL LTD
LEI
549300KQWCT26VXWW684
Country
Jersey
Issuer Type
Corporate
Sector
Financials
Industry group
Financial Services
Ratings
Issue rating
-/-/-
Issuer rating
-/-/-
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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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