Goldman Sachs GS5314964 Bond Redemption Schedule Revealed
The Goldman Sachs Group, Inc. issued the GS5314964 bond with a coupon rate of 2.375% and matures on December 6, 2028.
A bond redemption occurs when the principal amount and any accrued interest are repaid in full, and the data for the GS5314964 bond shows that it has been redeemed several times in the past.
The redemption schedule indicates that the bond can be called (redeemed early) on certain dates, with a minimum call price of 100% of the face value.
The outstanding amount of the bond is $80 million, and the next call date is set for April 29, 2028. The issuer has given notice that it intends to redeem the bond five days prior to each call date.