
WP/AP T.H.IV 21/29 REGS
Bond · XS2417090789 · A3KZTW (XCIE)
No Price
28.01.2026 07:18
Current Prices from WP/AP T.H.IV 21/29 REGS
| Exchange | Ticker | Currency | Last Trade | Price | Daily Change |
|---|---|---|---|---|---|
![]() Frankfurt |
QU0A.F
|
EUR
|
28.01.2026 07:18
|
99,89 %
|
-0,06 %
|
![]() Hamburg |
WPAPTH89.HAMB
|
EUR
|
28.01.2026 07:03
|
99,85 %
|
-0,10 %
|
![]() Quotrix |
WPAPTH89.DUSD
|
EUR
|
28.01.2026 06:27
|
100,21 %
|
+0,27 %
|
![]() Düsseldorf |
WPAPTH89.DUSB
|
EUR
|
27.01.2026 16:27
|
100,07 %
|
+0,14 %
|
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Company Data
Name WP/AP T.H.IV 21/29 REGS
Primary Exchange
Frankfurt
Frankfurt
WKN A3KZTW
ISIN XS2417090789
Asset Class Bond
Coupon 3,75 %
Denomination 100.000,00 EUR
Issue Date 23.12.2021
Maturity Date 15.01.2029
Currency EUR
Ticker Symbols
| Name | Symbol |
|---|---|
| Düsseldorf | WPAPTH89.DUSB |
| Frankfurt | QU0A.F |
| Hamburg | WPAPTH89.HAMB |
| Quotrix | WPAPTH89.DUSD |
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