1,125% Fiserv Anleihe (2027) Logo
XS1843434280
A2R305

1,125% Fiserv Anleihe (2027)

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Security information

Metric Value
Time to maturity 9 Monate
Duration 8 Jahre
Maturity 06/30/2027
First trading day 06/30/2019
Yield 3.25%
Coupon rate 1.13%
Interest type Fester Zinssatz
Interest period Jährlich
Interest payment date
30.06.2027
Currency Euro
Issue volume 500M
Category Unternehmensanleihe
Country USA
Issuer Fiserv
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