| Name : | QNB Finance Ltd Corp Bond 1.625 Sep25 |
| Type : | Corporate |
| Country of Issuance : | Cayman Islands |
| Market Type : | International |
| ISIN : | |
| WKN : | |
| Exchange : | |
| Ticker : | |
| Currency : | USD |
| Embedded Options : | |
| Day Count : |
| Status : | Matured |
| Par Value : | |
| Face Value : | |
| Amount Issued : | |
| Amount Outstanding : | |
| Announcement Date : | |
| Auction Date : | |
| Issue Date : | |
| Maturity Date : | |
| Settlement : |
| Coupon Type : | |
| Current Coupon Rate : | |
| Annual Coupon : | |
| Remaining Coupons : |
| Frequency : | Semi Annual |
| First Coupon Date : | 22-Mar-2021 |
| Previous Coupon Date : | 22-Sep-2025 |
| Next Coupon Date : |