Bond Data: XS2080205367

NATWEST GROUP PLC FRN 2025

Pricing
Date 2024-11-19
Duration
Price 100.00
Yield to maturity
Reference
Asset class medium-term note
Country United Kingdom
Coupon 0.75
Currency EUR
FIGI BBG00QTD7PS9
Interest type variable rate
Callable Yes
Outstanding No
Puttable No
ISIN XS2080205367
Issued amount 750,000,000.00
Issuer name NATWEST GROUP PLC
Issuer type corporate
Maturity date 2025-11-15
Name NATWEST GROUP PLC FRN 2025
Rank senior unsecured
Ticker NWG V0.75 11/15/25
Price
Yield to Maturity (%)
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