Master data

3% European Investment Bank (2029)
Code number
n/a
ISIN
XS1963719585
Issuer
European Investment Bank
Security type
International Public Sector Bonds
Country
n/a
Home market
Luxemburg
Market segment
Berlin Open Market
Nominal currency
Polnischer Zloty
Coupon Type
annually
Coupon
Fixed
Last trading day
25/11/2029
 

Price data

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Date
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Time
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Spread
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Bid
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Bid Size
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Ask
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Ask Size
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Open
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Previous day
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High
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Low
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52 weeks high
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52 weeks low
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Nominal last trade
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Nominal trade
0

Lead Broker

Name Clearing account number
Hellwig Wertpapierhandelsbank GmbH 1275

Times & Sales

Date Time Last Volume
Xontro trading starts at 8:00 CET.Prices are published 15 minutes delayed. For free real time prices please register here.

Notices

Date of day Lead broker Market segment Issuer Day of first trading PDF
13/03/2019 Hellwig Wertpapierhandelsbank GmbH Berlin Open Market European Investment Bank 14/03/2019 Admission
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