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ISIN
XS2393520734
Date
21/11/2024 - 4:30pm

Instrument Info

Field Value
OVS S.p.A.
XS2393520734
OVS SUST 2,25% 10/11/2027 CALL
Corporate Bonds
Sustainability Bond
Fixed rate
1Y
2.25
10/11/2021 09/12/2021 05/11/2027 10/11/2027 10/11/2022 200000000 -

Settlement info

Automatic International with Central Counterpart EUROCLEAR/CLEARSTREAM GAR EUR 25/11/2024 Secco ACT/ACT

Parameters

XS2393520734 OVS SUST 2,25% 10/11/2027 CALL 91.319 - 100.931 94.203 - 98.047 96.125 9:00 17:30 Active
Equita Sim S.p.A.
MifidII
50000 BFB