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Last Price
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*Source: Executing Broker
- Type Bond
- Code @MPD024
- Listing Category Category B
- ISIN GE2700604806
- Size of Issue 3,000,000
- Nominal Value 1,000
- Trading Currency EUR
- Coupon Rate 7.75
- Couporn Frequency Semiannual
- Maturity Date 24/07/2026
- Date of Issue 24/07/2024