Last update: 14.12.2025 09:45 (GMT+2)
| Number of listed securities | 25,000 |
| Nominal | 1,000 EUR |
| Issue value | 25,000,000 EUR |
| Listing date | 07.03.2022 |
| Maturity date | 29.12.2031 |
| Coupon rate (%) | 15.672 |
| Next coupon payment date | 29.12.2024 |
For floating coupon rate bonds, indicated coupon rate takes into account the standard settlement cycle (T+2).