TOYOTA 1,35% 22/10/2026 USD

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ISIN
XS2056488013
Date
24/04/2025 - 12:59pm

Instrument Info

Field Value
Toyota Motor Credit Corp
XS2056488013
TOYOTA 1,35% 22/10/2026 USD
Corporate Bonds
-
Mixed Rate
1Y
2.00
22/10/2019 25/08/2021 19/10/2026 22/10/2026 22/10/2020 246578000 No PDF

Settlement info

- EUROCLEAR/CLEARSTREAM GAR USD 28/04/2025 Secco ACT/ACT

Parameters

XS2056488013 TOYOTA 1,35% 22/10/2026 USD 96.454 - 106.606 99.5 - 103.56 101.53 9:00 17:30 Active
SELLA
MifidII
50000 -