P \u0026 R /AOR, IT0003157028 ISIN Dateibase
P \u0026 R /AOR - AZIONI ORDINARIE
ISIN IT0003157028 | P \u0026 R /AOR |
---|---|
Cfi code | ESVUFR |
Codvecom | 910A |
Coupon frequency | |
Currency | 242 |
Currency description | EURO UNIONE ECONOMICA E MONETARIA |
Date fi | 2099-12-31 |
Date in | 2012-11-19 |
First coupon payment date | |
First coupon rate | |
Form | NOMINATIVO |
Interest | |
Interest rate | |
Issue date | |
Issuer | 00651030181 |
Issuer country | ITALIA |
Issuer country code | 86 |
Issuer long name | P. \u0026 R. S.P.A. |
Maturity date | |
Nominal | None |
Nominal | 1000 |
Period | |
Repayment date | |
Sector | AZIONI ORDINARIE |
Share tip | R |
Type of interest |
ISIN database - Stocks, Bonds, Equities, Debt Instruments, Options, Futures and Entitlements
Der ähnliche ISIN
ISIN | Name, Beschreibung | nominal |
---|---|---|
IT0003887483 | P \u0026 I HOLDING/AOR P \u0026 I HOLDING/AOR - AZIONI ORDINARIE | |
IT0003887517 | P \u0026 I HOLDING/TV 20100201 P \u0026 I HOLDING/TV 20100201 - OBBLIGAZIONI CON RIMBORSO ANTICIPATO | |
IT0004724222 | P \u0026 R /5 20110930 P \u0026 R /5 20110930 - OBBLIGAZIONI ORDINARIE | |
IT0004722069 | P \u0026 R /5 20111031 P \u0026 R /5 20111031 - OBBLIGAZIONI ORDINARIE | |
IT0004952567 | P \u0026 R /6 20130930 P \u0026 R /6 20130930 - OBBLIGAZIONI ORDINARIE | |
IT0004943137 | P \u0026 R /6 20131031 P \u0026 R /6 20131031 - OBBLIGAZIONI ORDINARIE | |
IT0004954415 | P \u0026 R /6 20140630 P \u0026 R /6 20140630 - OBBLIGAZIONI ORDINARIE | |
IT0004377724 | P \u0026 R /6.5 20100930 P \u0026 R /6.5 20100930 - OBBLIGAZIONI CON RIMBORSO ANTICIPATO | |
IT0004680150 | P \u0026 R /6.5 20110630 P \u0026 R /6.5 20110630 - OBBLIGAZIONI CON RIMBORSO ANTICIPATO | |
IT0003157028 | P \u0026 R /AOR P \u0026 R /AOR - AZIONI ORDINARIE |
Zeit: 22. Dezember 2024 06:17:48
London Zeit: | 22. Dezember 2024 05:17:48 |
New York Zeit: | 22. Dezember 2024 00:17:48 |
Tokio Zeit: | 22. Dezember 2024 14:17:48 |