Pricing
Price
Yield To Maturity
Duration
Last Trade Date
Identifiers
ISIN
XS2736677761
Figi
BBG01NG9WVK5
Features
Currency
EUR
Coupon
0.0
Maturity Date
2027-06-28
Interest Type
Maturity Type
Fixed
Callable
False
Issued Amount
3,200,000
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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