Ukraine Government Bonds
UA4000215891

last update: 03.10.2025 16:34
Currency
EUR (Euro)
Term
365 days (medium-term)
Yield
2,50%
Coupon
12,50
Quantity
349 217
Offering
16.02.2021
27.04.2021
18.05.2021
Maturity
17.02.2022
Interest payment
19.08.2021
17.02.2022
  • ISIN – International Securities Identification Number
  • Currency is the currency in which the bonds are denominated
  • Term is the period of circulation (up to a year – short-term, from a year to 5 years – medium-term, over 5 years – long-term)
  • Yield – the annual coupon income divided by the nominal value of a security
  • Coupon (coupon rate) is the amount of coupon payment per bond
  • Quantity is the number of securities in the issue
  • Offering is the dates of offering (auctions) on the primary market
  • Maturity is the date of the final payment, when all payments (including interest) must be made

Nominal value – the face value of one bond, which is 1,000 monetary units in the currency of denomination.

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