FISERV 19/26
FISERV 19/26
Bond · US337738AT51 · A2R3MV (XFRA)
Overview
No Price
n/a
Get up to date insights from finAgent about FISERV 19/26

Company Data

Name FISERV 19/26
Primary Exchange XFRA Frankfurt
WKN A2R3MV
ISIN US337738AT51
Asset Class Bond
Coupon 3,20 %
Denomination 2.000,00 USD
Issue Date 24.06.2019
Maturity Date 01.07.2026
Currency USD

Ticker Symbols

Name Symbol
Frankfurt FIVC.F
More Shares
Investors who hold FISERV 19/26 also have the following shares in their portfolio:
AT + T 17/57
AT + T 17/57 Bond
PSP SWISS PROP. 16-26
PSP SWISS PROP. 16-26 Bond
The financial platform MoneyPeak tracks and analyzes investments and portfolios. From securities portfolios to crypto purchases.
Useful, simple, and free. Stocks, ETFs, ETCs, ETNs, indices, funds, bonds, certificates, currencies, options, rights issue.
Imprint Data Protection Blog Community Feedback Changelog
Im App Store herunterladen Bei Google Play herunterladen
All rights reserved © LCP GmbH 2025