- Current yield
- 0.64%
- Coupon p.a.
- 0.63%
- Yield to maturity
- 0.97%
| Ex-Date | Pay Date | Coupon |
|---|---|---|
| 0.625% | ||
| 0.625% | ||
| 0.625% | ||
| 0.625% | ||
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Givaudan SA 0,625% 16/31 has a current yield of 0.64%.
- ISIN
- WKN
- Exchange
- XFRA
- Value
- 98.25%
- Interest schedule
- annually
- Security Type
- Bond
- Sector
-
- Country
Switzerland
- Maturity
- Interest currency
- Swiss Franc
- Over the last 12 months Givaudan SA 0,625% 16/31 paid interest of 0.625% of nominal. For the coming 12 months 0.625% is expected, which is a current yield of about 0.64%.
- The current yield of Givaudan SA 0,625% 16/31 is 0.64%. It sets the coupon against today's price and is not the yield to maturity.
- At the current price the yield to maturity of Givaudan SA 0,625% 16/31 is 0.97% p.a. It assumes you hold the bond until 4 December 2031, that every coupon is paid as scheduled and that the nominal is repaid in full at the end.
- Givaudan SA 0,625% 16/31 pays interest once a year. The interest date falls in December.
- The next interest payment is due on 5 December 2026.
- Givaudan SA 0,625% 16/31 matures on 4 December 2031. That is the day the nominal is repaid.
- The last interest payment was made on 5 December 2025.
- In 2025 interest of 0.625% of nominal was paid.
- The interest of Givaudan SA 0,625% 16/31 is paid in Swiss Franc.
- The issuer of Givaudan SA 0,625% 16/31 is from Switzerland.