Domestic government loan bonds
UA4000237077

last update: 04.09.2025 09:17
Currency
EUR (Euro)
Yield
3,19%
Offering
09.09.2025
Maturity
25.02.2027
  • ISIN – International Securities Identification Number
  • Currency is the currency in which the bonds are denominated
  • Yield is the annual coupon yield divided by the nominal value of a security
  • 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

The nominal value of one bond is 1,000 monetary units of the currency in which it is denominated.

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