BRAMBLES FIN. 17/27
BRAMBLES FIN. 17/27
Bond · XS1577950667 · A19P25 (XSES)
Overview
No Price
n/a

Performance

Day Week Month 3 Months 6 Months 1 Year 5 Years
- - - - - - -

Invested Funds

The following funds have invested in: BRAMBLES FIN. 17/27 invested:

Fund
iShares € Corp Bond ex-Financials UCITS ETF EUR (Dist)
Vol. in million
616,58
Percentage (%)
0,04 %
Fund
iShares € Corp Bond ESG UCITS ETF EUR (Dist)
Vol. in million
675,96
Percentage (%)
0,03 %
Fund
iShares Core € Corp Bond UCITS ETF EUR (Acc)
Vol. in million
357,94
Percentage (%)
0,02 %
Fund
iShares € Aggregate Bond UCITS ETF EUR (Dist)
Vol. in million
191,70
Percentage (%)
0,0097 %

Company Data

Name BRAMBLES FIN. 17/27
Primary Exchange XSES SGX
WKN A19P25
ISIN XS1577950667
Asset Class Bond
Coupon 1,50 %
Denomination 100.000,00 EUR
Issue Date 04.10.2017
Maturity Date 04.10.2027
Currency EUR

More Shares

Investors who BRAMBLES FIN. 17/27 hold also have the following shares in their portfolio:
EMPOWER LTD EACH CONSISTING OF ONE CLASS A ORDINARY SHARE, $0.0001 PAR VALUE, AND ONE-THIRD OF ONE REDEEMABLE WARRANT
EMPOWER LTD EACH CONSISTING OF ONE CLASS A ORDINARY SHARE, $0.0001 PAR VALUE, AND ONE-THIRD OF ONE REDEEMABLE WARRANT Share
PARAGON MORTGAGES (NO.12) PLC CLASS A2B MTG BKD FRN 15/11/38 EUR(REGS)
PARAGON MORTGAGES (NO.12) PLC CLASS A2B MTG BKD FRN 15/11/38 EUR(REGS) Bond
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