Cititrust Holdings PLC Series 1 Tranche B Commercial Paper
Issue Details
Unique Identifier
NGCITCP23S1B
NGCITCP23S1B
Series
1
1
Issue Amount (N'bn)
0.20
0.20
Tenor (Days)
270
270
Discount
18
18
Yield
20.76
20.76
Issue Date
Oct. 14, 2022
Oct. 14, 2022
Maturity Date
Jul. 11, 2023
Jul. 11, 2023
Status
Credit Default (final repayment made on Aug. 8, 2023)
Issuer
Programme
Offer Documents
Issuer Ratings
Issuer
CitiTrust Holdings PLC
Programme
Offer Document
Title | Size | Download |
---|---|---|
-35-Pricing Supplement _N200,000,00.00 Million Series 1 Tranche B (270 days) CP Offer | 1.07 MB | DownloadPreview |