BK CYP.HLDGS 21/31 FLRMTN
BK CYP.HLDGS 21/31 FLRMTN
Bond · XS2333239692 · A3KP2G (EMTF)
Overview
No Price
12.12.2025 07:02
Current Prices from BK CYP.HLDGS 21/31 FLRMTN
ExchangeTickerCurrencyLast TradePriceDaily Change
XHAM: Hamburg
Hamburg
BCHPLC92.HAMB
EUR
12.12.2025 07:02
101,55 %
XHAN: Hannover
Hannover
BCHPLC92.HANB
EUR
12.12.2025 07:02
101,55 %
XDUS: Düsseldorf
Düsseldorf
BCHPLC692.DUSB
EUR
11.12.2025 16:26
101,55 %
XDQU: Quotrix
Quotrix
BCHPLC692.DUSD
EUR
10.12.2025 06:27
101,62 %
Invested Funds

The following funds have invested in BK CYP.HLDGS 21/31 FLRMTN:

Fund
iShares Global High Yield Corp Bond UCITS ETF EUR Hedged (Dist)
Vol. in million
204,02
Percentage (%)
0,04 %
Get up to date insights from finAgent about BK CYP.HLDGS 21/31 FLRMTN

Company Data

Name BK CYP.HLDGS 21/31 FLRMTN
Primary Exchange EMTF Frankfurt
WKN A3KP2G
ISIN XS2333239692
Asset Class Bond
Coupon 6,63 %
Denomination 100.000,00 EUR
Issue Date 23.04.2021
Maturity Date 23.10.2031
Currency EUR

Ticker Symbols

Name Symbol
Düsseldorf BCHPLC692.DUSB
Hamburg BCHPLC92.HAMB
Hannover BCHPLC92.HANB
Quotrix BCHPLC692.DUSD
More Shares
Investors who hold BK CYP.HLDGS 21/31 FLRMTN also have the following shares in their portfolio:
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CESKA SPORIT 23/27 FLRMTN Bond
Taki Chemical Co., Ltd.
Taki Chemical Co., Ltd. Share
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