UNICREDIT TM 10/04/2035

-
-
ISIN
IT0005645129
Date
21/06/2025 - 3:23am

Instrument Info

Field Value
UniCredit SpA
IT0005645129
UNICREDIT TM 10/04/2035
Bonds without LP
-
Mixed Rate
1Y
4.75
10/04/2025 19/05/2025 05/04/2035 10/04/2035 10/04/2026 10000000 No

Settlement info

Automatic Domestic with Central Counterpart MONTETITOLI GAR EUR 24/06/2025 Secco 30/360EU