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Abengoa S.A. Obligation 8.875% Coupon bis 11/1/2017
[WKN: A1A2YU / ISIN: USE0002VAC84]

Current Price Abengoa Finance S.A.U.

3.45 0.00 0.00 %
Trade Time 08:30:31 Trade Date 20.01.2017
Open 3.45 Prev. Close 3.45
Daily Low 3.45 Daily High 3.45
52-week Low 3.41 52-week High 17.15
Exchange

Key Data

Coupon in % 8.8750 Yield in % 1,547.62
Duration 0.6340 Modified Duration 0.0725
Accrued Interest 1.9722 Maturity Date 11/1/2017

About the Abengoa S.A.-Bond (USE0002VAC84)

The Abengoa S.A.-Bond has a maturity date of 11/1/2017 and offers a coupon of 8.8750%. The payment of the coupon will take place 2,0 times per biannual on the 01.05.. At the current price of 0 USD this equals a annual yield of 1,547.62%. The Abengoa S.A.-Bond was issued on the 10/28/2010 with a volume of 650 M. USD.

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ABENGOA FIN. 10/17 REGS Price - 1 Year
  • Intraday
  • 1w
  • 3 Mo.
  • 1y
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  • 5y
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Bond Data

Fundamental
ISIN USE0002VAC84
Issuer Abengoa S.A.
Country Spain
Issueance
Issuer Abengoa S.A.
Bond Type Corporate Euroland
Issue Volume 650,000,000
Currency USD
Issue Price 98.10
Issue Date 10/28/2010
Coupon
Coupon 8.875%
Denomination 1000
Quotation Type
Payment Type regular interest
Special Coupon Type suspended payment
Maturity Date 11/1/2017
Coupon Payment Date 5/1/2017
Payment Frequency
No. of Payments per Year 2,0
Coupon Start Date 5/1/2011
Final Coupon Date 10/31/2017
Floater? No
Cancellation
Issuer Callable No
Cancellation Type Without constraint
Cancellation Possible Date 10/28/2010
Cancellation Redemption Price

More Bonds of Abengoa

ISIN Maturity Coupon Yield
XS0875275819 1/17/2019 6.2500% 636.1654
XS0481758307 2/3/2017 4.5000% 19999.98
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