III

Iberdrola Finanzas SAU 1.621% 29-NOV-2029

Key terms


Outstanding amount
‪735.00 M‬EUR
Face value
100,000.00EUR
Minimum denomination
100,000.00EUR
Coupon
1.62% (Fixed)
Coupon frequency
Annual
Maturity date
Nov 29, 2029
Term to maturity
3 years

About Iberdrola Finanzas SAU 1.621% 29-NOV-2029


Issuer
Iberdrola Finanzas SAU
Sector
Finance
Industry
Finance/Rental/Leasing
Issue date
Nov 29, 2017
Identifiers
2
ISIN XS1726152108

See how Iberdrola Finanzas SAU is moving with its highest-yielding bonds.
Sign up to see advanced bond data
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.