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 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
F07408 | S24TCB1B | TAIWAN COOPERATIVE BANK | 2024 05/03 |
2029 05/03 |
USD | 23,350,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074083 | Link |
F07407 | S24TCB1A | TAIWAN COOPERATIVE BANK | 2024 05/03 |
2027 05/03 |
USD | 32,050,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074075 | Link |
F01239 | S24CTBC16 | CTBC BANK CO., LTD. | 2024 04/01 |
2025 04/08 |
USD | 200,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012398 | Link |
F14404 | S24SCSB1 | THE SHANGHAI COMMERCIAL & SAVINGS BANK, LTD. | 2024 03/27 |
2026 03/27 |
USD | 10,750,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Shanghai Bank | TW000F144043 | Link |
F01237 | S24CTBC14 | CTBC BANK CO., LTD. | 2024 03/20 |
2025 03/26 |
USD | 350,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | Link | |
F01238 | S24CTBC15 | CTBC BANK CO., LTD. | 2024 03/20 |
2024 06/26 |
USD | 300,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012380 | Link |
F01236 | S24CTBC13 | CTBC BANK CO., LTD. | 2024 03/18 |
2024 12/24 |
USD | 300,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | Link | |
F01235 | S24CTBC12 | CTBC BANK CO., LTD. | 2024 03/11 |
2024 07/17 |
USD | 300,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012356 | Link |
F01234 | S24CTBC11 | CTBC BANK CO., LTD. | 2024 03/06 |
2025 02/12 |
USD | 300,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012349 | Link |
F01233 | S24CTBC10 | CTBC BANK CO., LTD. | 2024 03/04 |
2025 03/10 |
USD | 300,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012331 | Link |
F01231 | S24CTBC8 | CTBC BANK CO., LTD. | 2024 02/20 |
2025 02/26 |
USD | 350,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012315 | Link |
F04611 | S24MEGA1 | Mega International Commercial Bank Co., Ltd. | 2024 01/30 |
2029 01/30 |
USD | 9,550,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Mega Bank | TW000F046115 | Link |
F01229 | S24CTBC6 | CTBC BANK CO., LTD. | 2024 01/29 |
2025 02/06 |
USD | 350,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | TW000F012299 | Link |
F01224 | S24CTBC1 | CTBC BANK CO., LTD. | 2024 01/11 |
2025 01/17 |
USD | 750,000 | Structured | Yield Enhancement | Equities | Underlying price meet early redemption level | sell the bond itself | Chinatrust Bank | Link | |
F05010 | S23FCB2 | FIRST COMMERCIAL BANK | 2023 12/22 |
2028 12/22 |
USD | 20,300,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | First Bank | TW000F050109 | Link |
F05009 | S23FCB1 | FIRST COMMERCIAL BANK | 2023 12/22 |
2025 06/22 |
USD | 17,300,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | First Bank | TW000F050091 | Link |
F14403 | S23SCSB2 | THE SHANGHAI COMMERCIAL & SAVINGS BANK, LTD. | 2023 11/01 |
2026 11/01 |
USD | 6,400,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Shanghai Bank | TW000F144035 | Link |
F07406 | S23TCB2B | TAIWAN COOPERATIVE BANK | 2023 10/05 |
2028 10/05 |
USD | 16,600,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074067 | Link |
F07405 | S23TCB2A | TAIWAN COOPERATIVE BANK | 2023 10/05 |
2025 10/05 |
USD | 29,250,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074059 | Link |
F02817 | S23ESUN3 | E.SUN COMMERCIAL BANK,LTD. | 2023 08/18 |
2026 08/18 |
USD | 9,100,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | E.SUN Bank | TW000F028170 | Link |
F02816 | S23ESUN2 | E.SUN COMMERCIAL BANK,LTD. | 2023 07/28 |
2026 07/28 |
USD | 19,600,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | E.SUN Bank | TW000F028162 | Link |
F07404 | S23TCB1B | TAIWAN COOPERATIVE BANK | 2023 03/10 |
2028 03/10 |
USD | 14,050,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074042 | Link |
F07403 | S23TCB1A | TAIWAN COOPERATIVE BANK | 2023 03/10 |
2025 03/10 |
USD | 32,800,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | sell the bond itself | Cooperative Bank | TW000F074034 | Link |
F05008 | S22FCB2 | FIRST COMMERCIAL BANK | 2022 08/22 |
2027 08/22 |
USD | 19,700,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | First Bank sell the bond itself |
First Bank | TW000F050083 | Link |
F04610 | S22MEGA2 | Mega International Commercial Bank Co., Ltd. | 2022 07/05 |
2027 07/05 |
USD | 6,500,000 | Structured | Principal Protection | Interest rates | Issuer call right after specific date | Mega Bank sell the bond itself |
Mega Bank | TW000F046107 | Link |
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 | Chinatrust Bank sell the bond itself |
Chinatrust Bank | TW000F012117 | Link |