Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27

Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27France

99.73%
Current yield
3.13%
Coupon p.a.
3.13%
Yield to maturity
3.41%
Ex-DatePay DateCoupon
3.125%
3.125%
3.125%
3.125%
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Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 has a current yield of 3.13%.

ISIN
WKN
Exchange
XFRA
Value
99.73%
Interest schedule
annually
Security Type
Bond
Sector

-

Country
France

France

Maturity
Interest currency
Euro

ETFs holding Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27

2 ETFs invest at least 1% in Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27.

Frequently Asked Questions about Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27

Over the last 12 months Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 paid interest of 3.125% of nominal. The coupon is 3.125% a year, which is a current yield of about 3.13%. It only runs until the bond matures on 14 September 2027, though.
The current yield of Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 is 3.13%. It sets the coupon against today's price and is not the yield to maturity.
At the current price the yield to maturity of Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 is 3.41% p.a. It assumes you hold the bond until 14 September 2027, that every coupon is paid as scheduled and that the nominal is repaid in full at the end.
Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 pays interest once a year. The interest date falls in September.
The next interest payment is due on 14 September 2027.
Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 matures on 14 September 2027. That is the day the nominal is repaid.
The last interest payment was made on 14 September 2026.
In 2025 interest of 3.125% of nominal was paid.
The interest of Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 is paid in Euro.
The issuer of Banque Fédérative du Crédit Mutuel S.A. [BFCM] 3,125% 22/27 is from France.