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XS317027770
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NatWest Markets Plc 3.632% 03-SEP-2034
XS317027770
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XS317027770
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XS317027770
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5 days
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Key terms
Outstanding amount
1.00 B
EUR
Face value
1,000.00
EUR
Minimum denomination
100,000.00
EUR
Coupon
3.63% (Variable)
Coupon frequency
Annual
Yield to maturity
—
Maturity date
Sep 3, 2034
Term to maturity
8 years
About NatWest Markets Plc 3.632% 03-SEP-2034
Issuer
NatWest Markets Plc
Sector
Finance
Industry
Regional Banks
Home page
ci.natwest.com
Issue date
Sep 3, 2025
ISIN
XS3170277704
FIGI
BBG01WYJJ3H4
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