OSB Group Plc announced Issue of GBP 400,000,000 Fixed Rate Resetting Notes due 16 January 2030 under the £3 billion Euro Medium Term Note programme .
Real-time Estimate
Other stock markets
|
5-day change | 1st Jan Change | ||
413 GBX | +2.23% | +7.32% | -10.98% |
EPS Revisions
Annual profits - Rate of surprise
1st Jan change | Capi. | |
---|---|---|
-10.98% | 1.98B | |
-9.13% | 83.84B | |
-13.56% | 18.91B | |
+10.53% | 13.78B | |
+36.45% | 8.38B | |
-13.66% | 6.22B | |
-1.55% | 4.43B | |
+22.65% | 4.36B | |
-16.03% | 3.13B | |
-6.71% | 2.57B |
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- Osb Group plc Announces Issue of GBP 400,000,000 Fixed Rate Resetting Notes Due Under £3 Billion Medium Term Note Programme