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97KM RELX FINANCE BV 1.500% GTD NTS 13/05/27



Price (EUR) - Var % (+/-) +0.00% ( 0.00)
High - Low -
Volume - Last close -
Bid - Offer -
Trading status No Active Session Special conditions NONE
As at 13-Nov-2019 06:33:13 -  All data delayed by at least 15 minutes.
Prices displayed do not include any accrued interest payable.

Bond Information
Issue Date 23 Mar 2018
Maturity Date 13 May 2027
Coupon Value +1.500%
Coupon Type Fixed
Coupon Frequency - months
Coupon Payment Date  
Redemption Date  
Redemption Type No redemption
Index Inflation Date  
Minimum Denomination 0.00
Denomination Currency 0
Code Convention Calculate 0
Unit Of Quotation 100
Type CWNR
Trading Service Fixed interest (Trade reporting Only)
Market -
Trading Hours Auction 8am - 8:10am, Continuous Trading 8:10am to 4:30pm
Settlement cycle

Security Information
Trading segment CWNR
Market identifier code (MIC) XLON
Exchange market size 1,000
SEDOL BYVTQY9
ISIN XS1793224632
*The market capitalisation of the security reflects data from previous trading day.


RELX FIN 27 debt security price (97KM)