Foreign bonds quotation
Update time:2025/07/03 12:39:35
Bond code | Bond name (Denominated currency) |
Issue date / maturity date |
Indicative bid price | item |
---|---|---|---|---|
W118 | 加拿大皇家銀行次債(USD) |
2016/01/27 2026/01/27 |
99.73 |
Issue date:2016/01/27 maturity date:2026/01/27 Indicative bid price:99.73 |
Bond nameW118-加拿大皇家銀行次債
Period2025/06/03~2025/07/04
Quotation date | Indicative bid price |
---|---|
2025/07/03 | 99.7300 |
2025/07/02 | 99.7900 |
2025/07/01 | 99.8700 |
2025/06/30 | 99.7200 |
2025/06/27 | 99.7500 |
2025/06/26 | 99.7400 |
2025/06/25 | 99.7500 |
2025/06/24 | 99.6900 |
2025/06/23 | 99.6600 |
2025/06/20 | 99.6800 |
2025/06/19 | 99.6700 |
2025/06/18 | 99.6600 |
2025/06/17 | 99.6900 |
2025/06/16 | 99.6400 |
2025/06/13 | 99.7800 |
2025/06/12 | 99.6600 |
2025/06/11 | 99.6300 |
2025/06/10 | 99.6800 |
2025/06/09 | 99.5900 |
2025/06/06 | 99.6000 |
2025/06/05 | 99.6000 |
2025/06/04 | 99.6200 |
2025/06/03 | 99.6100 |