Issue information
Borrower | Goldman Sachs |
Bond type | Zero-coupon bonds |
Placement method | Open subscription |
Placement type | Public |
Par, integral multiple | 1,000,000 USD |
Nominal of international bonds | 1,000,000 USD |
Minimum settlement amount | 1,000,000 USD |
Outstanding principal amount | 1,000,000 USD |
Amount | 50,000,000 USD |
Outstanding face value amount | 50,000,000 USD |
Date of end placing | **/**/**** |
Maturity date | **/**/**** |
Redemption price | 396.64% |
Floating rate | No |
Coupon Rate | *% |
Current coupon rate | 0% |
Day count fraction | *** |
Interest accrual date | **/**/**** |
Listing | Luxembourg S.E. |
Related issues
- Goldman Sachs, 6.75% 1oct2037, USD
- Goldman Sachs, 5.75% 24jan2022, USD
- Goldman Sachs, 5.25% 27jul2021, USD
- Goldman Sachs, 3% 26apr2022, USD
- Goldman Sachs, 2.876% 31oct2022, USD
Cbonds Valuationi
Stock exchange and OTC quotes
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Bond classification
Subordinated | |
Sinkable bond | |
Perpetual | |
Convertible | |
Structured product | |
Restructuring | |
Securitization | |
MBS | |
Trace-eligible | |
Covered | |
Foreign bonds | |
CDO | |
Sukuk | |
Retail bonds | |
Supranational bond issues | |
Green bonds | |
Non-market issues | |
Codes
ISIN / ISIN RegS | XS1410208547 |
Common Code / Common Code RegS | 141020854 |
FIGI / FIGI RegS | BBG00CW0NBN2 |
Ticker | GS 0 05/20/46 EMTN |
Primary placement
Issuer rating on issue date (M/S&P/F) | ***/***/*** |
Placement | **/**/**** |
Initial issue price (yield) | ***% ( - ) |
Participants