MORRISON (WM) SUPERMARKETS PLC 2.500% NTS 01/10/31
MORRISON (WM) SUPERMARKETS PLC 2.500% NTS 01/10/31
Bond · XS2058692471 (XLON)
Overview
No Price
n/a
1 day
-
1 week
-
1 month
-
3 months
-
6 months
-
Year to date
-
1 year
-
2 years
-
3 years
-
4 years
-
5 years
-
10 years
-
20 years
-
Max
-
Invested Funds

The following funds have invested in MORRISON (WM) SUPERMARKETS PLC 2.500% NTS 01/10/31:

Fund
iShares Core Global Aggregate Bond UCITS ETF GBP Hedged (Dist)
Vol. in million
18,02
Percentage (%)
0,005 %
Fund
iShares Core Global Aggregate Bond UCITS ETF EUR Hedged (Acc)
Vol. in million
70,14
Percentage (%)
0,005 %
Fund
iShares Core Global Aggregate Bond UCITS ETF USD Hedged (Dist)
Vol. in million
15,58
Percentage (%)
0,005 %
Fund
iShares Core Global Aggregate Bond UCITS ETF USD Hedged (Acc)
Vol. in million
98,91
Percentage (%)
0,005 %

Company Data

Name MORRISON (WM) SUPERMARKETS PLC 2.500% NTS 01/10/31
Primary Exchange XLON London
ISIN XS2058692471
Asset Class Bond
Coupon 2,50 %
Denomination -
Issue Date 01.10.2019
Maturity Date 01.10.2031
Currency GBP

Ticker Symbols

Name Symbol
London 91WZ.L
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