General information
- IssuerLONDON POWER NETWORKS PLC
- Parent companyUK POWER NETWORKS HOLDINGS LTD
- StructureFixed Income/Fixed Rate Bond
- Days to maturity542 days
- Maturity date6 June 2027
- Online tradingYes
- Denomination size£1,000.00
- Minimum initial investment£1,000.00
- ISINXS0148889420
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