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UGD 3% 2027

EG19I27A · Treasury bond · BODIVA

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Terms

Issue characteristics

Subject to IAC
Type
Treasury bond
Annual coupon rate
3.00%
Coupon frequency
semi-annual
Issue date
May 19, 2024
Admission date
May 21, 2025
Maturity
May 19, 2027 (8 months remaining)
Face value per note
1,000 $
Quantity issued
20,000
Total amount issued
20M $

Cashflow simulator

Nominal investment
10,000 $
Estimated next coupon
150 $on Nov 19, 2026

Indicative dates, without business-day adjustment.

Indicative dateGross coupon per notePrincipal per noteGross total (10 notes)
Nov 19, 202415 $150 $
May 19, 202515 $150 $
Nov 19, 202515 $150 $
May 19, 202615 $150 $
Nov 19, 202615 $150 $
May 19, 202715 $1,000 $10,150 $

Amounts are gross of taxes.

Tax regime

  • Rendimentos Sujeitos a IAC [Fonte: BODIVA — ficha do título, campo Regime Fiscal (metadata.source=bodiva); TAUA-3550]

Technical and tax parameters

Day count convention
Act/Act
Index references
Sem Indexante
Trading segment
Mercado de Bolsas de Títulos de Tesouro (MBTT)
Haircut
0%
Issuance type
Leilão

Tax regime

Rendimentos Sujeitos a IAC