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Bond
Code
Bond
Name
Issuer Issuing
Date
Maturity
Date
Currency
Denomi-
nation
Amount
of Issuance
Coupon
(%)
Product Type Linked
underlying
risk Type
Early
redemption
conditions
Securities
Underwriter
or Financial
Consulting
Company
Liquidity
Provider
ISIN Bond
Database
F01211 S21CTBC2 CTBC BANK CO., LTD. 2021
08/30
2026
08/30
USD 2,650,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Chinatrust Bank TW000F012117  Link
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