EVAN Group plc EO-Bonds 2017(19/22)
WKN A19L42 | ISIN DE000A19L426

Quote

  Bid Ask
Quote - -
Units
current/rel. spread - -%
Quote time - -
Daily high/low (money) - -
Change compared with
previous day (bid)
0,00 +0,00%
Last quote of the day 86,00 92,80

Price data

Stock exchange Stuttgart  
last/yield 92,80B / 8,34 0 nom.
Price determination time 16/11/2018 17:23:26
Daily volume (Nominal ) 0,00  
Yield spread/Federal bonds (Bunds) 8,8370  
Spot rate -  
Daily high/low 92,80 92,80
Prev. day's price (15/11) 92,95  
Change day before -0,15 -0,16%
Yearly high/low 99,50 (02/01) 86,00 (02/11)
52 week high / low 99,50 (02/01) 86,00 (02/11)

Latest quotes

Quote time Bid Ask
16/11/2018 / 17:23:26 - 92,80
16/11/2018 / 10:28:51 - 92,80
16/11/2018 / 09:06:04 - 92,899
16/11/2018 / 08:13:12 - 92,899
16/11/2018 / 08:05:00 - 92,90
16/11/2018 / 08:00:33 - 92,90
Historical quotes on EVAN Group plc EO-Bonds 2017(19/22)

Master data

WKN A19L42
ISIN DE000A19L426
Symbol -
Exchange segment Open Market
Type of financial instrument Corporate Bond
Sub-type Financial
Issuer Evan Group PLC
S&P rating -
(Trading) segment / ticks - / -
Trading hours 8:00 - 18:00 Uhr
Interest rate 6,000%
Interest run from 31/07/2017
Next interest payment 31/07
Interest accrued on nominal amount 1,825%
Trading currency / Note Euro / percent
Nominal currency Euro
Settlement currency Euro
Quotation fortlaufende Auktion
Issuing volume 125 Mio.
Minimum amount tradeable unit 1.000,00
Smallest tradeable unit 1.000,00
Maturity 31/07/2022
Market maker -
step up/down when rating changes No
step up fixed at issue No
step down fixed at issue No
Bond callable by the issuer No
Bond is subordinated No