PERENNIAL RETAIL BOND 2015
PERENNIAL RETAIL BOND 2015:
ISIN: SG6VJ4000008
CUSIP EK7954788
Bond Issuer: Perennial Treasury Pte Ltd
Guarantor: Perennial Real Estate Holdings Limited
Issue Date: 16-Mar-15
Maturity Date: 16-Mar-18
Years to Maturity (Approximate): 2.372
Bond Currency: SGD
Annual Coupon Frequency: Semi Annually
Coupon Type: Fixed
Annual Coupon Rate (%): 4.25
Bond rates are provided for personal use only. The usual disclaimer apply for this finance-related Sg Bond Rates site.
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