22.03.2019

BARCLAYS BANK PLC corporate bonds (XS1931180548): NSD accepted for services this issue


Issue Details
Date of acceptance March 22, 2019
Issuer BARCLAYS BANK PLC
Security Type corporate bonds
Security Name Barclays Bank PLC 22/03/22
ISIN / NSD Code XS1931180548
Date of Placement March 22, 2019
Face Value 1 000.00
Currency USD
Number of Securities in the Issue (in items) 1 000
Maturity Date March 22, 2022
Duration (in days) 1096
Number of Coupons 1
Head Depository CLEARSTREAM

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