AVIVA 6.125%-FRN SUB 14/11/2036AVIVA 6.125%-FRN SUB 14/11/2036AVIVA 6.125%-FRN SUB 14/11/2036

AVIVA 6.125%-FRN SUB 14/11/2036

No trades
See on Supercharts

Key terms


Outstanding amount
‪200.00 M‬GBP
Face value
10,000.00GBP
Minimum denomination
10,000.00GBP
Coupon
6.13% (Variable)
Coupon frequency
Annual
Yield to maturity
5.82%
Maturity date
Nov 14, 2036
Term to maturity
11 years

About AVIVA 6.125%-FRN SUB 14/11/2036


Issuer
Sector
Finance
Industry
Multi-Line Insurance
Home page
Issue date
Nov 14, 2001
ISIN
XS0138717441
FIGI
BBG000073MF5
Aviva Plc is a holding company, which engages in the provision of long-term insurance and savings, general and health insurance, and fund management products and services. It operates through the following segments: United Kingdom and Ireland; Canada; France; Italy; Poland; and Other. The United Kingdom and Ireland segment offers risks associated with motor vehicles, property and liability, and medical expenses insurance cover to individuals and businesses. The Canada segment refers to the personal and commercial lines insurance products distributed through insurance brokers. The France segment consists of long-term and general insurance businesses. The Italy segment provides savings, investments, pension, and protection products to the life and non-domestic insurance markets. The Poland segment comprises of long-term business and general insurance business in Lithuania. The Other segment includes the long-term business operations in China, India, and Singapore; and life operations in Turkey. The company was founded on November 12, 1696 and was headquartered in London, the United Kingdom.
Advanced bond data for paid plans
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.