Tradable
Continental 2,5% 27/08/2026101.3 vp %
0.1528%
BID101.19100 000
ASK101.95100 000
SPREAD
RELATIVE0.74%
ABSOLUTE76
YTM2.1791%
THRESHOLDS100.287 / 102.313
20/05/2022 14:02:14
XS2178586157Corporate Continental 2,5% 27/08/2026
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No prices history available for now
Market
Price Information
Last price101.3 vp %Change prev. closing price-0.155-0.1528%
Volume-Prev. closing price101.455 vp %
Performance
Daily high101.352 weeks high109.705
Daily low101.352 weeks low100.86
Yield to maturity2.1791%YTD-7.5856% / -8.315
Order book
Intraday
Historical closing prices
Bid
Quantity
Price
100 000
101.19
Ask
Price
Quantity
101.95
100 000
Reference data
Issuer
Issuer
CONTINENTAL AG
Issuer type
Corporate
Subtype
Consumer Discretionary
Issuer country
Germany
Security
ISIN
XS2178586157
Security
Continental 2,5% 27/08/2026
Coupon
2.5
Maturity
27/08/2026
Redemption price
100
Coupon type
Fixed rate
Coupon periodicity
Yearly
Currency
EUR
Issued amount
750 000 000
S&P rating
-
Date of admission to trading
27/05/2020
Trading
Market
XLUX
Trade Indicator
%
Interest quoting convention
Clean
Mininum trading amount
1,000
Trading lot
1 000
Prime Liquidity Provider
EUWAX Aktiengesellschaft
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