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TN03YR270622 TN03YR270622 |
Nominal Value | 37,867,549,000 |
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Issue Date | Tuesday, 25 June 2019 |
Listing Date | Monday, 30 September 2019 |
Maturity Date | Monday, 27 June 2022 |
Coupon Rate | 9.00% |
Coupon Frequency | B |
Price | MK100.0000 / Friday, 24 June 2022 14:30 |
Title | Announcement Type | Date |
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