-
-
ISIN
IT0005427601
Date
24/08/2024 - 8:36pm

Instrument Info

Field Value
Banco di Credito P.Azzoaglio S.p.A.
IT0005427601
BANCO AZZOAGLIO S/UP 01/12/27
Bonds without LP
-
Mixed Rate
6M
1.00
01/12/2020 12/02/2024 26/11/2027 01/12/2027 01/06/2021 8000000 No PDF

Settlement info

Manual Domestic MONTETITOLI EUR 27/08/2024 Secco ACT/ACT