BOND AVIVA 4.625%-FRN LT2 28/08/56 EUR
Change+0.01 (+0.01%) Bid102.97% Ask103.67% Last updateJun 29, 2026
18:04:06.068
UTC
ISIN
XS3034073752
Issuer
Aviva PLC
Issuer type
Companies
Issuer country
Great Britain
Coupon
4.62%
Currency
EUR
Maturity date
Aug 28, 2056
Yield to maturity
-
Bid
102.97
Ask
103.67
Diff. %
+0.01%
Coupon type
Variable
Last update
Jun 29, 2026
18:04:06.068