Goldman Sachs' Bond GSGR6086811 Pays 5.0% Interest Rate Semiannually
The Goldman Sachs Group, Inc. has a corporate bond called GSGR6086811 that pays an interest rate of 5.0% every six months until its maturity date on May 30, 2029.
The next payment is scheduled for November 30, 2026, and each semi-annual payment will be $25.00.
The bond's coupon frequency is semi-annual, and the current coupon rate is fixed at 5.0%.