THE GOLDMAN SACHS GROUP INC FRN 2025 (XS1230358019)
Reference and pricing data for corporate bonds
Reference
Callable
No
Country
United States of America
Coupon
2.562
Currency
EUR
FIGI
BBG009JH2143
ISIN
XS1230358019
Interest type
Variable rate
Issued amount
141,104,000.00
Issuer type
Corporate
Maturity date
2025-07-06
Outstanding
No
Puttable
No
Rank
Senior unsecured
Security type
Medium-term note
Ticker
GS V0 07/06/25 EMTN
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Price
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