STANDARD CHARTERED PLC 3.125% LT2 NTS 19/11/2024STANDARD CHARTERED PLC 3.125% LT2 NTS 19/11/2024STANDARD CHARTERED PLC 3.125% LT2 NTS 19/11/2024

STANDARD CHARTERED PLC 3.125% LT2 NTS 19/11/2024

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Key terms


Outstanding amount
‪500.00 M‬EUR
Face value
1,000.00EUR
Minimum denomination
100,000.00EUR
Coupon
3.13% (Fixed)
Coupon frequency
Annual
Yield to maturity
3.51%
Maturity date
Nov 19, 2024
Term to maturity
3 days

About STANDARD CHARTERED PLC 3.125% LT2 NTS 19/11/2024


Sector
Finance
Industry
Major Banks
Home page
Issue date
Nov 19, 2014
ISIN
XS1140857316
FIGI
BBG007JSTYV2
Standard Chartered Plc engages in the provision of banking and financial services. It operates through the following segments: Corporate, Commercial & Institutional Banking; Consumer, Private & Business Banking; Ventures; and Central & Other Items. The Corporate, Commercial & Institutional Banking segment supports clients with transaction banking, corporate finance, financial markets, and borrowing needs. The Consumer, Private & Business Banking segment deals with individuals, small businesses, consumer, private, and business banking. The Ventures segment promotes innovation, invests in disruptive financial technology, and explores alternative business models. The Central & Other Items segment comprises of corporate center costs, treasury markets, treasury activities, certain strategic investments, and the UK bank levy. The company was founded on November 18, 1969 and is headquartered in London, the United Kingdom.
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