General information
- IssuerPETROBRAS GLOBAL FINANCE B.V.
- Parent companyBRAZIL, FEDERATIVE REPUBLIC OF (GOVERNMENT)
- StructureFixed Income/Fixed Rate Bond
- Days to maturity2955 days
- Maturity date16 January 2034
- Online tradingNo
- Denomination size£1,000.00
- Minimum initial investment£100,000.00
- ISINXS0982711474
£0.01
(0.01%)