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Designation
Emprunt obligataire TPBJ 5,75% 2022-2037
Nature of the Securities
Obligations
Symbol
TNC_TPBJO6
ISIN
BJ0000001764
Gross Annual Interest Rate
5,75%
Secondary market
Titres admis aux opérations du DC/BR
Indicative loan amount (for reference)
180 000 000 000
Effective loan amount
190 017 560 000
Nominal Value
10 000
Number of Securities
19 001 756
Issue Price
10 000
Effective Date
28 juillet 2022
Net Annual Interest Rate
5,75%
Gross coupon amount
575
Net Coupon Amount
575
Payment terms
Annuel
Duration
15 ans
Repayment method
Amortissement constant de 1/15
Redemption Price
10 000