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CYPRUS BOND LIST |
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Instrument Code |
Description |
Bond Type |
Maturity Date |
Coupon |
First Coupon Date |
First Trading Date |
XS2849767202 | CYPRUS 3.250 27/06/31 | CYP | 27/06/2031 | 3.250 | 27/06/2025 | 21/06/2024 |
XS2610236445 | CYPRUS 4.125 13/04/33 | CYP | 13/04/2033 | 4.125 | 13/04/2024 | 06/04/2023 |
XS2434393968 | CYPRUS 0.950 20/01/32 | CYP | 20/01/2032 | 0.950 | 20/01/2023 | 14/01/2022 |
XS2297209293 | CYPRUS 0 09/02/26 | CYP | 09/02/2026 | 0.000 | - | 03/02/2021 |
XS2157183950 | CYPRUS 2.250 16/04/50 | CYP | 16/04/2050 | 2.250 | 16/04/2021 | 14/04/2020 |
XS2157184255 | CYPRUS 1.500 16/04/27 | CYP | 16/04/2027 | 1.500 | 16/04/2021 | 14/04/2020 |
XS2105095777 | CYPRUS 0.625 21/01/30 | CYP | 21/01/2030 | 0.625 | 21/01/2021 | 15/01/2020 |
XS2105097393 | CYPRUS 1.250 21/01/40 | CYP | 21/01/2040 | 1.250 | 21/01/2021 | 15/01/2020 |
XS1989383788 | CYPRUS 2.750 03/05/49 | CYP | 03/05/2049 | 2.750 | 03/05/2020 | 03/05/2019 |
XS1956050923 | CYPRUS 2.750 26/02/34 | CYP | 26/02/2034 | 2.750 | 26/02/2020 | 01/03/2019 |
XS1883942648 | CYPRUS 2.375 25/09/28 | CYP | 25/09/2028 | 2.375 | 25/09/2019 | 24/09/2018 |
XS1314321941 | CYPRUS 4.250 04/11/25 | CYP | 04/11/2025 | 4.250 | 04/11/2016 | 29/08/2016 |