Bond Data: XS2433141947

UNICREDIT SPA 1.625% 2032

Pricing
Date 2025-02-21
Duration 6.56
Price 89.98
Yield to maturity 3.27
Reference
Asset class medium-term note
Country Italy
Coupon 1.63
Currency EUR
FIGI BBG014HF08H2
Interest type fixed rate
Callable Yes
Outstanding Yes
Puttable No
ISIN XS2433141947
Issued amount 500,000,000.00
Issuer name UNICREDIT SPA
Issuer type corporate
Maturity date 2032-01-18
Name UNICREDIT SPA 1.625% 2032
Rank senior unsecured
Ticker UCGIM 1.625 01/18/32 EMTN
Price
Yield to Maturity (%)
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