Bond Data: XS2320533131 | REPSOL INTERNATIONAL FINANCE BV FRN PERP
| Pricing | |
|---|---|
| Date | 2025-10-27 |
| Duration | |
| Price | 99.23 |
| Yield to maturity |
| Reference | |
|---|---|
| Asset class | Bond |
| Country | Netherlands |
| Coupon | 2.500 |
| Currency | EUR |
| FIGI | BBG00ZN6CD10 |
| Interest type | Variable rate |
| Callable | Yes |
| Outstanding | Yes |
| Puttable | No |
| ISIN | XS2320533131 |
| Issued amount | 750,000,000.00 |
| Issuer name | REPSOL INTERNATIONAL FINANCE BV |
| Issuer type | Corporate |
| Maturity date | 9999-12-31 |
| Name | REPSOL INTERNATIONAL FINANCE BV FRN PERP |
| Rank | Junior |
| Ticker | REPSM V2.5 PERP |
| Price |
|---|
|
|
| Yield to Maturity (%) |
|---|
|
|
More data is available via our
API