Price (EUR)
74.85 -% (-)
RK77FXD/FLT RTE SNR REG NTS 29/04/33
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Open / Last close
- / 74.85
High / Low
- / -
Bid / Offer
- / -
Maturity Date
29.04.33
Professional Investors only: Yes
As at 07.08.25 07:23:04 BST - All data delayed at least 15 minutes
30 more instruments

MORGAN STANLEY instruments

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Equity (1)
Code Instrument name Price Change Type Documentation
0QYU MORGAN STANLEY ORD SHS -
USD
- Equity -
Bonds (30)

Programmes

FIFTH SUPPLEMENT TO THE OFFERING CIRCULAR FOR NOTES, WARRANTS AND CERTIFICATES - 14 Nov 2024 -
Ninth Supplement - 05 Mar 2025 -
Sixth Supplement - 18 Dec 2024 -
Supplements and Offering Circulars -

Bond securities

Code Instrument name Price Maturity Type Documentation
RK77 FXD/FLT RTE SNR REG NTS 29/04/33 74.85
EUR
29.04.33 Bonds -
12RD 1.342% FLTG RTE SEN REG NTS 23/10/26 97.88
EUR
23.10.26 Bonds -
13JJ FXD RTE NTS 15/08/2032 -
EUR
15.08.32 Bonds -
17NY 0.495%/FLTG RTE SENR REG NTS 26/10/29 -
EUR
26.10.29 Bonds -
33CV 5.07% NTS 03/08/30 -
EUR
03.08.30 Bonds -
33FH 4.85% NTS 22/09/28 -
EUR
22.09.28 Bonds -
43CT 7.5% NTS DUE 02/04/2032 -
USD
02.04.32 Bonds -
50SI 8.48% MXN PESO NTS 13/09/27 -
MXN
13.09.27 Bonds -

Company Index / Market info

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FTSE Index
-
Instrument market cap (£m)
-
Listing / Admission to trading
04 June 1997
Market
Main Market
Listing category
Debt and debt-like securities
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For instruments denominated in GBX, the Trade Value is in GBP when the traded currency is GBX or GBP. When the traded price is any other currency then the Trade Value is displayed in that currency. Some trades qualify for deferred publication due to the type or size of the transaction. These will be displayed at the point of publication, but show the date/time of execution as with other trades.