XS2278107771 (XLON)
INTERNATIONAL FINANCE CORPORATION SYNTHETIC BYN NTS 15/12/25 Bond
No Price
Performance
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Company Data INTERNATIONAL FINANCE CORPORATION SYNTHETIC BYN NTS 15/12/25 Bond
Name INTERNATIONAL FINANCE CORPORATION SYNTHETIC BYN NTS 15/12/25
Primary Exchange
London
ISIN XS2278107771
Asset Class Bond
Coupon -
Denomination -
Issue Date 29.12.2020
Maturity Date 15.12.2025
Currency USD
Ticker Symbols
Name | Symbol |
---|---|
London | ZR44.L |
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