Abertis Infraestructuras S.A. LS-Medium-Term Nts 2019(19/26)

Type of financial instrument

Corporate Bond

Sub-Type

Industrial Goods

Yield

4.55

Yield spread Bundesanleihe

1.7239

Tradable for private investors

No

Minimum amount tradeable unit

100,000.00

Maturity

27/11/2026

Interest Rate

3.375 %

Currency

British Pound Sterling

Facts & figures

Price data

TRADE PLATFORM
LAST PRICE / YIELD99.615 G / 4.550 Units
PRICE DETERMINATION TIME07/24/2026 / 09:47:12 PM
DAILY VOLUME (NOMINAL)0
YIELD SPREAD1.7239
FIXINGPRICE-
DAILY HIGH / LOW99.61599.6
PREV. DAY'S PRICE99.591 (07/23)
CHANGE DAY BEFORE
+0.02
0.02 %
52 WEEK HIGH / LOW99.615 (07/24)97.952 (07/28)

Master Data

WKN
A2RZQW
ISIN
XS1967636272
SYMBOL
AUCE
EXCHANGE SEGMENT
Freiverkehr
TYPE OF FINANCIAL INSTRUMENT
Corporate Bond
SUB-TYPEIndustrial Goods
ISSUER
Abertis Infraestructuras S.A.
S&P RATINGPlease log in to view this field
(TRADING) SEGMENT / TICKS
-/ -
TRADING HOURS
07:30:00 AM - 10:00:00 PM
INTEREST RATE
3.375 %
INTEREST RUN FROM
27/03/2019
NEXT INTEREST PAYMENT
27/11/2026
UNIT INTEREST FROM NOMINAL AMMOUNT
2.247 %
TRADING CURRENCY / NOTATION
British Pound Sterling/ Percent
NOMINAL CURRENCY
British Pound Sterling
SETTLEMENT CURRENCY
Euro
QUOTATION
Continuous trading
ISSUING VOLUME
400.00 Mil.
MINIMUM AMOUNT TRADEABLE UNIT
100,000.00
SMALLEST TRADEABLE UNIT
100,000.00
MATURITY
27/11/2026
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
Yes
BOND IS SUBORDINATED
No

Description

Local currency bond: GBP.

Tradability Information

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