Allianz 5,1% 30/01/2049Allianz 5,1% 30/01/2049Allianz 5,1% 30/01/2049

Allianz 5,1% 30/01/2049

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XS1556937891 analysis



Allianz 5,1% 30/01/2049 redemption


A bond redemption is the complete repayment of the principal and any accrued interest. See XS1556937891 redemption details below: check the redemption type, date, and amount. Also see Allianz SE sinking fund schedule as it may impact decisions: e.g. callable bonds with sinking funds may be redeemed early.
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Access the most important redemption data for bonds including current and historical repurchases.

Redemption schedule


Date
Type
Price, %
Min amount