medium-term note

GOLDMAN SACHS INTERNATIONAL 7.49% 2025

Pricing

Price

Yield To Maturity

Duration

Last Trade Date

Identifiers

ISIN

XS2691722826

Figi

BBG01L576PD5

Ticker

GS 0 02/05/25 MTO1

Features

Currency

USD

Coupon

7.49

Maturity Date

2025-02-05

Interest Type

Fixed Rate

Maturity Type

Fixed

Callable

False

Puttable

False

Min Increment

10,000

Issued Amount

720,000

Rank

Senior Unsecured

Registration Type

Registered

Issuer info

Issuer

GOLDMAN SACHS INTERNATIONAL

LEI

W22LROWP2IHZNBB6K528

Country

United Kingdom

Issuer Type

Corporate

Sector

Financials

Industry group

Financial Services

Ratings

Issue rating

-/-/-

Issuer rating

A1/A+/A+

Found an error? Let us know at contact@terrapinfinance.com

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

Insufficient data to generate price graph.
Insufficient data to generate volume graph.

Other bonds from same issuer

Showing 1 - 300 of 8807 results.

ISIN

Ticker

Currency

Coupon

Maturity Date

XS1013006090 GS 3 01/23/25 EMTN USD 3.0 2025-01-23
XS1318212633 GS V0 06/20/26 EMTN USD 2.063 2026-06-20
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FI4000546296 GS 0 02/26/29 MTN4 EUR 0.0 2029-02-26
FI4000541917 GS 0 07/26/28 EUR 2028-07-26
FI4000519145 GS 0 11/18/27 DMTP EUR 2027-11-18
FI4000518550 GS 0 10/12/27 DMTS EUR 2027-10-12
FI4000541719 GS 0 01/26/29 0001 EUR 2029-01-26
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FI4000518790 GS 0 10/25/27 DMTV EUR 2027-10-25
FI4000517362 GS 0 08/30/27 DM1O EUR 2027-08-30
FI4000508346 GS 0 09/28/27 EMTO EUR 2027-09-28
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XS2692008472 GS 0 01/28/30 0005 EUR 2030-01-28
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