Heimstaden Bostad Treasury B.V. 1,375% 20/27

Heimstaden Bostad Treasury B.V. 1,375% 20/27Norway

99.09%
Current yield
1.39%
Coupon p.a.
1.38%
Yield to maturity
3.76%
Ex-DatePay DateCoupon
1.375%
1.375%
1.375%
1.375%
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Heimstaden Bostad Treasury B.V. 1,375% 20/27 has a current yield of 1.39%.

ISIN
WKN
Exchange
XFRA
Value
99.09%
Interest schedule
annually
Security Type
Bond
Sector

-

Country
Norway

Norway

Maturity
Interest currency
Euro

Frequently Asked Questions about Heimstaden Bostad Treasury B.V. 1,375% 20/27

Over the last 12 months Heimstaden Bostad Treasury B.V. 1,375% 20/27 paid interest of 1.375% of nominal. The coupon is 1.375% a year, which is a current yield of about 1.39%. It only runs until the bond matures on 3 March 2027, though.
The current yield of Heimstaden Bostad Treasury B.V. 1,375% 20/27 is 1.39%. It sets the coupon against today's price and is not the yield to maturity.
At the current price the yield to maturity of Heimstaden Bostad Treasury B.V. 1,375% 20/27 is 3.76% p.a. It assumes you hold the bond until 3 March 2027, that every coupon is paid as scheduled and that the nominal is repaid in full at the end.
Heimstaden Bostad Treasury B.V. 1,375% 20/27 pays interest once a year. The interest date falls in March.
The next interest payment is due on 3 March 2027.
Heimstaden Bostad Treasury B.V. 1,375% 20/27 matures on 3 March 2027. That is the day the nominal is repaid.
The last interest payment was made on 3 March 2026.
In 2025 interest of 1.375% of nominal was paid.
The interest of Heimstaden Bostad Treasury B.V. 1,375% 20/27 is paid in Euro.
The issuer of Heimstaden Bostad Treasury B.V. 1,375% 20/27 is from Norway.