
BCP FINANCE BANK LD 13% SUB NTS 13/10/21 
 Bond · XS0686774752    (XLON)
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Company Data
Name BCP FINANCE BANK LD 13% SUB NTS 13/10/21
    Primary Exchange 
                        London
                    
  
                        London
                    ISIN XS0686774752
 Asset Class Bond
 Coupon 13,00 %
 Denomination -
 Issue Date 13.10.2011
 Maturity Date 13.10.2021
      Currency EUR
   Ticker Symbols
| Name | Symbol | 
|---|---|
| London | 91PG.L | 
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