MTS CYPRUS BOND LIST excel
Instrument Code Description Bond Type Maturity Date Coupon First Coupon Date First Trading Date
XS2610236445CYPRUS 4.125 13/04/33CYP13/04/20334.12513/04/202406/04/2023
XS2434393968CYPRUS 0.950 20/01/32CYP20/01/20320.95020/01/202314/01/2022
XS2297209293CYPRUS 0 09/02/26CYP09/02/20260.000-03/02/2021
XS2157183950CYPRUS 2.250 16/04/50CYP16/04/20502.25016/04/202114/04/2020
XS2157184255CYPRUS 1.500 16/04/27CYP16/04/20271.50016/04/202114/04/2020
XS2105095777CYPRUS 0.625 21/01/30CYP21/01/20300.62521/01/202115/01/2020
XS2105097393CYPRUS 1.250 21/01/40CYP21/01/20401.25021/01/202115/01/2020
XS1989383788CYPRUS 2.750 03/05/49CYP03/05/20492.75003/05/202003/05/2019
XS1989405425CYPRUS 0.625 03/12/24CYP03/12/20240.62503/12/201903/05/2019
XS1956050923CYPRUS 2.750 26/02/34CYP26/02/20342.75026/02/202001/03/2019
XS1883942648CYPRUS 2.375 25/09/28CYP25/09/20282.37525/09/201924/09/2018
XS1637276848CYPRUS 2.750 27/06/24CYP27/06/20242.75027/06/201827/06/2017
XS1314321941CYPRUS 4.250 04/11/25CYP04/11/20254.25004/11/201629/08/2016