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Kreditanstalt fuer Wiederaufbau 10,000% 3/2019
ISIN XS1042116746 | WKN A1X3EC | Type Bond
|Last Price||96,8700 %|
|Change from Prev. Day||0.22 / 0.23%|
|Date / Time||10.12.2018 / 16:00:06|
|52 week High||99.030|
|52 week Low||90.310|
|Trading Hours||08:00 - 17:30*|
Kreditanstalt fuer Wiederaufbau 10,000% 3/2019 Tick Data (FSE)
No data available
|Yield in % (last price)||23,3751|
|Yield in % (ask)||20,2896|
|Yield in % (bid)||25,4073|
|Accrued Interest in %||7.61640|
|Accrued Interest days||-|
|Duration in years||0.233|
|Modified Duration in years||0.189|
Frankfurt Trading Parameters
|Specialist||BAADER BANK AG|
|First Annual Pay Date||06/03/2015|
|Interest Payment Count||1,0|
|Start Interest Payment||06/03/2014|
|Name||Kreditanstalt fuer Wiederaufbau 10,000% 3/2019|
|Market Segment||Open Market|
|Issuer||Kreditanstalt für Wiederaufbau|
|First Trading Day||06/03/2014|