FCMB Group PLC Series 2 Bond
Issue Details
Unique Identifier
Not applicable
Not applicable
Series
2
2
Issue Amount (N'bn)
26.00
26.00
Tenor (Years)
Perpetual: The Bonds will have no scheduled maturity date
Perpetual: The Bonds will have no scheduled maturity date
Coupon
16.00
16.00
Issue Date
Oct. 24, 2023
Oct. 24, 2023
Status
Listed
Listed
Issuer
Programme
Offer Documents
Issuer Ratings
Issue Price
Redemption
Coupon Frequency
1000
Optional Redemption, Tax Event Redemption, or Redemption upon a Capital Disqualification Event
Semi-annually
Issue Price
1000
Joint Issuing Houses
Optional Redemption, Tax Event Redemption, or Redemption upon a Capital Disqualification Event
Redemption
Semi-annually
Offer Document(s)
No data was found