Bond Code |
Bond Name |
Issuer | Issuing Date |
Maturity Date |
Currency Denomi- nation |
Amount of Issuance |
Coupon (%) |
Securities Underwriter or Financial Consulting Company |
Liquidity Provider |
ISIN | Bond Database |
Bond Pricing Referenes |
TLAC/bali-in eligible |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
F15601 | P08ORSTD1 | Orsted Wind Power TW Holding A/S | 2019 11/19 |
2026 11/19 |
TWD | 4,000,000,000 | 0.920% | Cathay United Bank Yuanta Securities Co Chinatrust Bank Fubon Seurities KGI Securities President Securities DeutscheBankAG,TPE BNP PARIBAS TAIWAN Taishin Internatonal E.SUN Bank Bank of Taiwan SinoPac Securities |
Not Applicatible | TW000F156013 | Link | N/A | |
F15603 | P09ORSTD1 | Orsted Wind Power TW Holding A/S | 2020 11/13 |
2027 11/13 |
TWD | 4,000,000,000 | 0.600% | Cathay United Bank Yuanta Securities Co Chinatrust Bank Fubon Seurities President Securities BNP PARIBAS TAIWAN E.SUN Bank Capital Securities SinoPac Securities |
Not Applicatible | TW000F156039 | Link | N/A | |
F15604 | P09ORSTD2 | Orsted Wind Power TW Holding A/S | 2020 11/13 |
2030 11/13 |
TWD | 3,000,000,000 | 0.700% | Cathay United Bank Chinatrust Bank President Securities BNP PARIBAS TAIWAN SinoPac Securities |
Not Applicatible | TW000F156047 | Link | N/A | |
F15602 | P08ORSTD2 | Orsted Wind Power TW Holding A/S | 2019 11/19 |
2034 11/19 |
TWD | 8,000,000,000 | 1.500% | Cathay United Bank Yuanta Securities Co Chinatrust Bank President Securities DeutscheBankAG,TPE BNP PARIBAS TAIWAN Bank of Taiwan SinoPac Securities |
Not Applicatible | TW000F156021 | Link | N/A | |
F15605 | P09ORSTD3 | Orsted Wind Power TW Holding A/S | 2020 11/13 |
2040 11/13 |
TWD | 8,000,000,000 | 0.980% | Cathay United Bank Chinatrust Bank BNP PARIBAS TAIWAN |
Not Applicatible | TW000F156054 | Link | N/A |