-
-
ISIN
IT0005377152
Data
21/11/2024 - 4:17pm
Ultimo contratto
Field | Value |
---|---|
- | |
- |
Info Strumento
Field | Value |
---|---|
Repubblica Italiana | |
IT0005377152 | |
BTP 1 MZ 40 3,10% | |
Italian Government Bond | |
- | |
Fixed rate | |
6M | |
3,10 |
01/03/2019 | 17/06/2019 | 27/02/2040 | 01/03/2040 | 01/09/2019 | 6000000000 | - |
Regolamento
Automatic Domestic with Central Counterpart | MONTETITOLI GAR | EUR | 25/11/2024 | Secco | ACT/ACT |
Ulteriori dettagli
1000 | 1000 | 0.01 | - | - |
Book
1 | 150.000 | 91,6 | 91,68 | 150.000 | 1 |
1 | 500.000 | 91,56 | 91,71 | 375.000 | 2 |
1 | 175.000 | 91,55 | 91,72 | 500.000 | 1 |
1 | 200.000 | 91,54 | |||
Statistiche
Field | Value |
---|---|
Parametri
IT0005377152 | BTP 1 MZ 40 3,10% | 84,16 - 98,78 | 88,73 - 94,21 | 91,471 | 9:00 | 17:30 | Active |
Iccrea Banca S.p.A. Banca Sella Holding S.p.A. Banco BPM S.p.A. |
MifidII MifidII MifidII |
150000 | IGB |