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ISIN: XS1837997979

Name of Issuer: NatWest Markets PLC

Sector: Financial Services

Country of Domicile: United Kingdom

Notes: NatWest Markets PLC has issued EUR, 1.125% fixed rate bond due 14-Jun-2023.

Bond Document:- https://www.bondpdf.com/bonds/XS1837997979

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

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