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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


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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