PROCTER GAMBLE 07/27/  XS0300113254  /

Stuttgart
1/6/2025  5:28:16 PM Chg.-0.061 Bid6:03:12 PM Ask6:03:12 PM Yield to maturity Coupon Issuer Time until exp.
104.945EUR -0.06% -
Bid Size: -
-
Ask Size: -
2.65% 4.88% Procter & Gamble Co., The 2.3 Years
 

Master data

WKN: A0NULV
Issuer: Procter & Gamble Co., The
Currency: EUR
Type: Bond
Time until exp.: 2.3 Years
Expiration date: 5/11/2027
First trading day: -
Face value: 50,000 EUR
Coupon: 4.88%
Coupon type: Fixed Coupon Rate
Coupon frequency: 12 Months
Next coupon: 5/11/2019
Floater: No
Emission volume: -
Expiration value: 100.0000

Calculated values

Yield to maturity: 2.65%
Accrued interest: 3.1417
Duration: 2.2179
Mod. duration: 2.1606
Convexity: 6.9925
Basis point value: 0.0234
Elasticity: 2.2747
 

Quote data

Open: 104.964
High: 104.982
Low: 104.911
Previous Close: 105.006
Turnover: 0.000
Market phase: -
 
  All quotes in EUR

Performance

1 Week
  -0.20%
1 Month
  -0.73%
3 Months
  -0.46%
YTD
  -0.20%
1 Year
  -0.89%
3 Years
  -15.62%
5 Years
  -22.20%
1W High / 1W Low: 105.232 104.945
1M High / 1M Low: 105.858 104.945
6M High / 6M Low: 105.945 104.468
High (YTD): 1/2/2025 105.232
Low (YTD): 1/6/2025 104.945
52W High: 1/31/2024 106.360
52W Low: 5/31/2024 103.998
Avg. price 1W:   105.061
Avg. volume 1W:   0.000
Avg. price 1M:   105.432
Avg. volume 1M:   0.000
Avg. price 6M:   105.356
Avg. volume 6M:   4,841.270
Avg. price 1Y:   105.183
Avg. volume 1Y:   8,537.549
Volatility 1M:   1.24%
Volatility 6M:   1.67%
Volatility 1Y:   2.02%
Volatility 3Y:   4.42%