Foreign bonds quotation
Update time:2025/10/15 21:26:12
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 |
99.9 |
Issue date:2016/01/27 maturity date:2026/01/27 Indicative bid price:99.9 |
Bond nameW118-加拿大皇家銀行次債
Period2025/09/15~2025/10/16
Quotation date | Indicative bid price |
---|---|
2025/10/15 | 99.9000 |
2025/10/14 | 99.7700 |
2025/10/13 | 99.7100 |
2025/10/09 | 99.9000 |
2025/10/08 | 99.9100 |
2025/10/07 | 99.9100 |
2025/10/03 | 99.9200 |
2025/10/02 | 99.9500 |
2025/10/01 | 99.9400 |
2025/09/30 | 99.8800 |
2025/09/26 | 99.9000 |
2025/09/25 | 99.9100 |
2025/09/23 | 99.9000 |
2025/09/22 | 99.8800 |
2025/09/19 | 99.8900 |
2025/09/18 | 99.9500 |
2025/09/17 | 99.9300 |
2025/09/16 | 99.9500 |
2025/09/15 | 99.9100 |