HITACHI CAPITAL (UK) PLC 0.37% NTS 27/01/25
HITACHI CAPITAL (UK) PLC 0.37% NTS 27/01/25
Bond · XS2289569613 (XLON)
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Company Data

Name HITACHI CAPITAL (UK) PLC 0.37% NTS 27/01/25
Primary Exchange XLON London
ISIN XS2289569613
Asset Class Bond
Coupon 0,37 %
Denomination -
Issue Date 25.01.2021
Maturity Date 27.01.2025
Currency JPY

Ticker Symbols

Name Symbol
London ZP53.L
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