Issue Details |
Date of cessation |
December 28, 2017 |
Issuer |
NATIXIS STRUCTURED ISSUANCE SA |
Security Type |
corporate bonds |
Security Name |
NATIXIS Structured Issuance SA 28/09/22 |
ISIN / NSD Code |
XS1616825433 |
Date of Placement |
September 28, 2017 |
Face Value |
1 000.00 |
Currency |
USD |
Number of Securities in the Issue (in items) |
500 |
Date of Redemption before Maturity |
December 28, 2017 |
Maturity Date |
September 28, 2022 |
Duration (in days) |
1826 |
Head Depository |
CLEARSTREAM |
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