tigredelmercato
Utente
Issuer The Republic of Cyprus
Issuer rating B1 (stab)/BB- (pos)/B+ (pos)/B (stab)
(Moody's/S&P/Fitch/DBRS)
Format Reg S Registered only, CACs
Size EUR Benchmark
IPTs 4% area
Maturity date [26] July 2023
Settlement date [26] July 2016 (T+5)
Coupon Fixed, Annual, ACT/ACT
Denominations 1k+1k
Law/Listing English Law / London Stock Exchange
Docs EMTN Programme
ISIN XS[ ]
Lead managers BARC/JPM(B&D)/MS/SGCIB/VTBC
un pò a sconto sulle altre emissioni?
A1Z04G - 3,875% Zypern, Republik 15/22 auf Festzins - Anleihe
A1Z9QR - 4,25% Zypern, Republik 15/25 auf Festzins - Anleihe
Issuer rating B1 (stab)/BB- (pos)/B+ (pos)/B (stab)
(Moody's/S&P/Fitch/DBRS)
Format Reg S Registered only, CACs
Size EUR Benchmark
IPTs 4% area
Maturity date [26] July 2023
Settlement date [26] July 2016 (T+5)
Coupon Fixed, Annual, ACT/ACT
Denominations 1k+1k
Law/Listing English Law / London Stock Exchange
Docs EMTN Programme
ISIN XS[ ]
Lead managers BARC/JPM(B&D)/MS/SGCIB/VTBC
un pò a sconto sulle altre emissioni?
A1Z04G - 3,875% Zypern, Republik 15/22 auf Festzins - Anleihe
A1Z9QR - 4,25% Zypern, Republik 15/25 auf Festzins - Anleihe