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Government Bonds

Isin
FR0013311016
Description Oat 0% 25fb21
Status SENIOR
Prices updated on 21-09-2019 08:39:00
Trading book
Var -
5-level book
Bid q.ty Bid Price Ask Price Ask q.ty
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
Last contract information
Price -
Quantity -
Date and time -
Execution Method -
Daily information
Closing price 100.962
Date 20-09-2019
Static reference price 100.962
Dynamic reference price 100.962
Quantity -
Turnover -
GrossĀ  yield to maturity* -0.67
Net yield to maturity* -0.67
Gross accrual* 0
Net accrual* 0
Modified duration* 1.44
Historical information
Minimum 100.871
Maximum 101.211
Trading conditions
Market phase Close
Suspended No
Minimum lot 1,000
Maximum order quantity 14,827,000
Maximum Amount Allowed 14,999,586
Settlement date 24-09-2019
Limit 1 % 1.25
Limit 2 % 1.00
Limit 3 % 2.00
Liquidity Provider with market making strategy Banca IMI S.p.A.
UniCredit Bank AG Succursale di Milano
Banca Sella Holding S.p.A.
Liquidity Provider with only buy duty -
Liquidity Provider with only sell duty -
Liquidity Provider minimum duty quantity 100,000
Liquidity Provider maximum duty spread 1%
Trading hours 9:00 17:30
Characteristics
Issuer Repubblica Francese
Category Government Bonds
Expiration Date 25-02-2021
Trading Currency EUR
Coupon frequency 12 Months
Time to maturity 521
*data provided by SKIPPER Informatica s.r.l.