LLOYDS BANK PLC 1.615% NTS 20/02/30
LLOYDS BANK PLC 1.615% NTS 20/02/30
Obligation · XS1191073771 (XLON)
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Company Data

Name LLOYDS BANK PLC 1.615% NTS 20/02/30
Primary Exchange XLON London
ISIN XS1191073771
Asset Class Bond
Coupon 1,62 %
Denomination -
Issue Date 20.02.2015
Maturity Date 20.02.2030
Currency EUR

Ticker Symbols

Name Symbol
London 10QY.L
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