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IBERDROLA FIN. 17/27 MTN

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Overview
Analysis

XS168253818 analysis



Key facts


Issuer
Iberdrola Finanzas SAU
Issue date
Sep 13, 2017
Maturity date
Sep 13, 2027
Outstanding amount
‪750.00 M‬EUR
Face value
100,000.00EUR
Minimum denomination
100,000.00EUR
Coupon
1.25% (Fixed)
Yield to maturity
2.59%
Iberdrola Finanzas SA engages in issues debt securities traded on the Spanish and international markets. The company is headquartered in Bilbao, Spain.
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