Corporate Debt security Details

Goldman Sachs (UK) L.L.C.

Description Category 3B Subordinated Mandatorily Convertible Securities
Series
Coupon Floating 
Coupon Frequency Annual
Maturity Date 27 Jul 2032
Issue Date 27 Jul 2022
Currency USD
Listed Amount Outstanding 3,606,995,480.00
Minimum Denomination 1.00
1st Interest Payment Date 30 Nov 2022
Listing Type Primary Listing on CSX

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