phone+44 203 371 1100

ISIN: XS1668112870

Name of Issuer: J.P. Morgan Limited

Sector: Banks

Country of Domicile: United Kingdom

Notes: J.P. Morgan Limited announced that it has made the payment of interest relating to its EUR 30MM, 1.000% Fixed rate bond due 04-Jun-2025.

Bond Document:- https://www.bondpdf.com/bonds/

Fair Value Price: https://www.bondmetric.com

In order to view the complete data, please login here

View Complete Data

Associated ISINs

View all associated ISINs

FactEntry

All of the financial data available on this page is sourced from FactEntry.