Irish Government Bonds

IRISH GOVERNMENT BONDS - 2% Notes due 29 June 2064
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ISIN Code XS1639739876
Sedol Code BYXL3N1
Security Type Government Bond
Market Type MSM
Price Currency EUR
Domicile Ireland
Listing Date 29/06/2017
Coupon Percent 2
Frequency Annual
Redemption Date 29/06/2064
Status Listed
Interest Payment Date 1 29/06/2018
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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

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Eva Lynskey, Supervisor Market Services at the Irish Stock Exchange, Dublin

Eva Lynskey

+353 1 6174223

Nicola Moore, Senior Official Market Services at the Irish Stock Exchange, Dublin

Nicola Moore

+353 1 6175136