Goldman Sachs Details GS6497243 Bond Redemption Schedule
The Goldman Sachs Group, Inc. has made available details on its GS6497243 bond redemption profile.
The bond in question is a corporate bond with a 5.8% coupon rate and matures on August 31, 2038.
A bond redemption occurs when the principal amount and any accrued interest are fully repaid. The redemption details for GS6497243 include the type of redemption, date, and amount.
The sinking fund schedule for this bond may also impact investment decisions, particularly for callable bonds with early redemptions.