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Irish Government Bonds

IRISH GOVERNMENT BONDS - 1.7% Treasury Bond 2037
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ISIN Code IE00BV8C9B83
Sedol Code BV8C9B8
Security Type Government Bond
Market Type MSM
Price Currency EUR
Domicile Ireland
Listing Date 04/01/2017
Coupon Percent 1.7
Frequency Annual
Redemption Date 15/05/2037
Status Listed
Interest Payment Date 1 15/05/2019
Last Ex-Dividend Date 15/05/2018
Get Price Details
Date: 15/11/2018
Open Price: 101.020
Close Price: 101.436
Daily High: 101.436
Daily Low: 101.020
Daily Volume: 48,355,000.00
Daily Turnover: 49,019,899.50
Market capitalisation: 5,388,280,320
Amount Listed: 5,312,000,000
Ex-Dividend: No
Last Trade Date: 15/11/2018
Yield To Maturity: 1.62
Turnover generally represents off exchange trades, however executed, in Irish Government bonds submitted to the ISE at end of day by Primary Dealers. On exchange trades (if any) are included and also published separately by the ISE