National Bank of Canada Issues Callable Corporate Bond NTIOF5859577
The National Bank of Canada has issued a bond called NTIOF5859577. This corporate bond carries a coupon rate of 5.3% and matures on July 31, 2034.
A bond redemption is the complete repayment of the principal and any accrued interest. The bonds' redemption details are as follows: the redemption type is callable and putable, with the next call date set for September 7, 2025. The call notice period is 10 days, while the put notice period is at least 15 days.
The outstanding amount of this bond is $5,250,000.00. There are historical repurchases listed in the redemption schedule, with a current price of 100.0% and a minimum amount of 100.0%.