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Designation
Emprunt obligataire TPBJ 5,70% 2023-2030
Nature of the Securities
Obligations
Symbol
TNC_TPBJO7
ISIN
BJ0000001947
Gross Annual Interest Rate
5,70%
Secondary market
Titres admis aux opérations du DC/BR
Indicative loan amount (for reference)
70 000 000 000
Effective loan amount
77 000 000 000
Nominal Value
10 000
Number of Securities
7 700 000
Issue Price
10 000
Effective Date
13 mars 2023
Net Annual Interest Rate
5,70%
Gross coupon amount
570
Net Coupon Amount
570
Payment terms
Annuel
Duration
7 ans
Repayment method
Amortissement constant de 1/7
Redemption Price
10 000