Goldman Sachs' GS5514054 Corporate Bond Experiences Multiple Redemptions
The Goldman Sachs Group, Inc. issued a corporate bond in December 2032 with a coupon of 6% and a maturity date of December 14, 2032.
The bond, labeled GS5514054, was callable at par value of $100.00 per unit.
A review of the bond's redemption history reveals that it has been redeemed several times since its issuance, with each redemption occurring on a call date, typically every 5 days after the notice period.
The most recent redemption data available shows that the bond was last redeemed in December 2032 at $100.00 per unit, and there have been no trades or market activity associated with this bond since then.