GOLDMAN SACHS FIN C INTL
Latest Traded Price
99.12· 15 Jul 2026
Coupon-Variable/floating rate
Maturity12 Sep 20359.1 years remaining
CurrencyEUR
Issued Amount80M EUR100 EUR per unit
Issuer & Classification
Issuer LEI549300KQWCT26VXWW684
CountryItaly (IT)
SenioritySenior debt
Debt TypeMTN
GuaranteeNot guaranteed
RedemptionFixed periodic redemption
FormRegistered
Dates & Trading
Maturity Date12 Sep 2035
First Trade Date15 Sep 2025
Duration9.1 years
Trading VenuesMOTXBTFE
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© 2026 BondSmartlyData sourced from European MiFID regulatory disclosuresBuilt in Europe