P\u0026G/2 CV 20181231, IT0004607344 ISIN Dateibase

P\u0026G/2 CV 20181231 - OBBLIGAZIONI CONVERTIBILI

 ISIN IT0004607344 P\u0026G/2 CV 20181231
 Cfi code   DCFUGB
 Codvecom   400B
 Coupon frequency   SEMESTRALE
 Currency   242
 Currency description   EURO UNIONE ECONOMICA E MONETARIA
 Date fi   2099-12-31
 Date in   2011-10-19
 First coupon payment date   2009-01-01
 First coupon rate   1
 Form   NOMINATIVO
 Interest   0
 Interest rate   2
 Issue date   2008-01-01
 Issuer   09896640019
 Issuer country   ITALIA
 Issuer country code   86
 Issuer long name   P\u0026G S.P.A.
 Maturity date   2018-12-31
 Nominal   None
 Nominal   1
 Period   S
 Repayment date  
 Sector   OBBLIGAZIONI CONVERTIBILI
 Share tip   R
 Type of interest   TASSO FISSO

ISIN database - Stocks, Bonds, Equities, Debt Instruments, Options, Futures and Entitlements
 

Der ähnliche ISIN


ISIN Name, Beschreibung nominal
 IT0004807639 P\u0026G RE GROPIUS/NM
P\u0026G RE GROPIUS/NM - OICVM SPECULATIVI ITAL.
 
 IT0004553274 P\u0026G RE LE CORBU/NM
P\u0026G RE LE CORBU/NM - OICVM SPECULATIVI ITAL.
 
 IT0004553282 P\u0026G RE WRIGHT/NM
P\u0026G RE WRIGHT/NM - OICVM SPECULATIVI ITAL.
 
 IT0004006794 P\u0026G SELECTION/NM
P\u0026G SELECTION/NM - OICVM SPECULATIVI ITAL.
 
 IT0004006778 P\u0026G SELECTION/PT
P\u0026G SELECTION/PT - OICVM SPECULATIVI ITAL.
 
 IT0004516610 P\u0026G SGR SPA/AOR
P\u0026G SGR SPA/AOR - AZIONI ORDINARIE
 
 IT0004607344 P\u0026G/2 CV 20181231
P\u0026G/2 CV 20181231 - OBBLIGAZIONI CONVERTIBILI
 
 IT0004607336 P\u0026G/AOR
P\u0026G/AOR - AZIONI ORDINARIE
 
 IT0003813984 P\u0026R PART \u0026 RETA/AOR
P\u0026R PART \u0026 RETA/AOR - AZIONI ORDINARIE
 

Zeit: 13. November 2024 04:41:45
London Zeit: 13. November 2024 03:41:45
New York Zeit: 12. November 2024 22:41:45
Tokio Zeit: 13. November 2024 12:41:45


 
Zobrazit sloupec 

TOPlist