
AXIS BANK LIMITED 2.875% NTS 01/06/21 (RULE144A)
Bond · US05463CAD48 (XLON)
No Price
n/a
Company Data
Name AXIS BANK LIMITED 2.875% NTS 01/06/21 (RULE144A)
Primary Exchange
London
London
ISIN US05463CAD48
Asset Class Bond
Coupon 2,88 %
Denomination -
Issue Date 01.06.2016
Maturity Date 01.06.2021
Currency USD
Ticker Symbols
| Name | Symbol |
|---|---|
| London | 38AW.L |
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