20.03.2023

(INTR) Notification on Corporate Action "Interest Payment" - NATIXIS STRUCTURED ISSUANCE SA 1.775 18/10/23 (bonds ISIN XS1815459927)

Corporate Action Details
Corporate Action Reference 772282
Corporate Action Type Code INTR
Corporate Action Type Interest Payment
Mandatory indicator MAND Mandatory
Value date 18 april 2023
Payment Date 18 april 2023
Record Date 17 april 2023

Security Details
Security Name Сategory NSD Code ISIN Nominal value Current Nominal value Nominal Currency
NATIXIS STRUCTURED ISSUANCE SA 1.775 18/10/23 bonds XS1815459927 XS1815459927 1000 1000 EUR

Interest Payment Details
Interest coupon rate (% per annum) 7.1
Interest Payment Amount in Currency 17.75
Payment Currency EUR
Start Date of Interest Period 18 jan 2023
End Date of Interest Period 18 april 2023
Interest Accrued Number Of Days 90

This message is for informational purposes only and does not confirm the fact that NSD has made a payment related to the above mentioned corporate action.

If you have any questions related to this communication, please contact your account managers at NSD by telephone: +7 495 956-27-90 or +7 495 956-27-91.

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