United Utilities Water

47UV 5.625% Notes 2027 GBP(VAR)
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Bond Information

General information

  • IssuerUNITED UTILITIES WATER LIMITED
  • Parent companyUNITED UTILITIES GROUP PLC
  • StructureFixed Income/Fixed Rate Bond
  • Days to maturity486 days
  • Maturity date20 December 2027
  • Online tradingYes
  • Denomination size£1,000.00
  • Minimum initial investment£1,000.00
  • ISINXS0159728236

Coupon information

  • Coupon (%)5.6250%
  • Coupon typeFixed Coupon
  • Coupon frequencyAnnually

Issue information

  • Issue date20 December 2002
  • Issue price99.88p
  • Issue size£300.00m

Important documents

There are no documents available for this instrument.

Data policy - All information should be used for indicative purposes only. You should independently check data before making any investment decision. HL cannot guarantee that the data is accurate or complete, and accepts no responsibility for how it may be used. Prices provided by Infront Finance (NBTrader). Key metrics and Bond information Data sourced by LSEG.