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NATIONAL BANK OF CANADA EUR 5.0YR FIG A+ FIXED RATE SYNDICATED EURO BOND MARKET PLACEMENT (XS2806614223)

Post Date: 25 April 2024
National Bank of Canada [Toronto] has priced a syndicated EUR denominated Euro market bond which matures in 2029. 

Gold users are able to click on the ISIN to check the full term sheet for this deal. XS2806614223

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Issuer Details
Issuer National Bank of Canada
LEI BSGEFEIOM18Y80CKCV46
Industry Bank - Commercial
Country Canada
Issuer Description National Bank of Canada provides a full array of banking services, including retail, corporate and investment banking. The Bank, through its subsidiaries, is involved in securities brokerage, insurance and wealth management, as well as mutual fund and retirement plan management.
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Trade Details
Security Type Bond
Amount EUR [Login to see full details]
Total Amount including taps EUR [Login to see full details]
Total Amount Outstanding EUR [Login to see full details]
Total Order Book EUR [Login to see full details]
Structure Fixed Rate
Coupon [Login to see full details]
Price [Login to see full details]
Reoffer [Login to see full details]
It came at a spread of [Login to see full details] in the Euro bond market.
Term [Login to see full details]
Yield Notes [Login to see full details]
Trade Date [Login to see full details]
Settlement Date [Login to see full details]
Maturity Date [Login to see full details]

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A Euro bond is a bond or other type of negotiable debt instrument issued in the offshore international, also called eurobond, market. The ISIN of a Euro Market bond always starts with XS. It can be denominated in any freely tradeable currency.

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