Tradable
VWIntlFin 3,25% 18/11/2030
117.425 vp %
0.2844%
BID--
ASK--
SPREAD
RELATIVE-
ABSOLUTE-
YTM1.1614%
THRESHOLDS116.251 / 118.599
20/01/2022 02:28:39
Security information
Coupon3.25%
PeriodYearly
Day convention code-
Redemption price100
CurrencyEUR
Maturity date18/11/2030
Investment information
Buying date20/01/2022

XS1910948329 - VWIntlFin 3,25% 18/11/2030 Yield

Total Cash flows in EUR-
Final Re-payment in EUR-
Net result in EUR-
YTM-
Initial investment(incl. accrued interest)
Final repayment
value
Theorical
value of investment
based on the buying price
Cumulative
interest
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