Tradable
Continental 0,375% 27/06/2025
100.225 vp %
0.01%
BID99.95100 000
ASK100.46100 000
SPREAD
RELATIVE0.5%
ABSOLUTE50.99
YTM0.3355%
THRESHOLDS99.223 / 101.227
21/11/2019 09:07:21
No prices history available for now

Market

Price Information
Last price100.225 vp %Change prev. closing price0.010.01%
Volume-Prev. closing price100.215 vp %
Performance
Daily high100.22552 weeks high100.551
Daily low100.22552 weeks low99.459
Yield to maturity0.3355%YTD- / -
Order book
Intraday
Historical prices
Bid
Quantity
Price
100 000
99.95
Ask
Price
Quantity
100.46
100 000

Reference data

Issuer

Issuer
CONTINENTAL AG
Bond type
Corporate
Subtype
Consumer Discretionary
Issuer country
Germany

Security

ISIN
XS2056430874
Security
Continental 0,375% 27/06/2025
Coupon
0.375
Maturity
27/06/2025
Redemption price
100
Issue type
Fixed rate
Periodicity
Yearly
Currency
EUR
Issued amount
600 000 000
S&P rating
-
Date of admission to trading
27/09/2019

Trading

Market
XLUX
Trade Indicator
%
Interest quoting convention
Clean
Mininum trading amount
1,000
Trading lot
1 000
Prime Liquidity Provider
EUWAX Aktiengesellschaft
Disclaimer

The information and data (collectively the Information) displayed on this page are made available for general information purposes only. The Information displayed on this page corresponds to the Information officially disclosed and published on LuxSE’s website (www.bourse.lu). In case of any discrepancy between the Information displayed on this page and the Information made available on LuxSE’s website, the latter shall prevail.
LuxSE cannot represent or warrant that the Information will be updated, displayed or made available in real time and/ or without any delay.

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