Goldman Sachs GS6480173 Bond Coupon Rate Hits 5.00% Ahead of 2027 Payment
The Goldman Sachs Group, Inc.'s GS6480173 bond has an interest rate of 5.00% and is scheduled for redemption on August 17, 2029. The next interest payment is planned for August 17, 2027. A coupon or nominal yield refers to the interest rate paid on a bond.
The bond's payments schedule shows upcoming payouts with accrual dates and frequencies. The amount of each payment can be calculated based on the interest rate and period.