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  1. Jul 3, 2022 · The Pacific National Finance Pty Ltd.-Bond has a maturity date of 5/12/2027 and offers a coupon of 6.9704%. The payment of the coupon will take place 4.0 times per Half-yearly on the 14.08..

  2. full data on over 700 000 bonds, stocks & ETFs; powerful bond screener; over 350 pricing sources among stock exchanges & OTC market; ratings & financial reports; user-friendly interface; available anywhere via Website, Excel Add-in and Mobile app.

  3. Jun 28, 2024 · The Pacific National Finance Pty Ltd.-Bond has a maturity date of 9/24/2029 and offers a coupon of 3.7000%. The payment of the coupon will take place 2.0 times per biannual on the 24.03..

  4. Jul 6, 2020 · Issuer: Pacific National Finance Pty Ltd Debt Level: senior unsecured Issue: AUD 100 mln Floating Rate (BBSW+260bps) bond/note 12-May-2027

  5. Pacific National Finance Pty Ltd. 3,7% 19/29 price in real-time (A2R8A1 / AU3CB0266906) charts and analyses, news, key data, turnovers, company data.

  6. This bond was issued by Pacific National Finance Pty Ltd with a coupon of 3.7 and maturity date of 24/09/2029. Total amount outstanding for this bond is AUD 450,000,000

  7. Pacific National repaid the maturing $242.5 million US dollar denominated 12 year bonds on their maturity date of 7 April 2023 with cash and cash equivalents on hand. On 27 June 2023 Pacific National entered two $250.0 million tranches of term loan that mature in July 2028 and July 2030 respectively.