Notizie Inizi Negoziazione
EuroMOT - Nuovo inizio negoziazioni
13 giu 2017
Dal 14 giugno 2017 in negoziazione su nuovi titoli emessi da BEI , World Bank , INTERNATIONAL FINANCE CORPORATION e KFW
- "EIB BRL 8.000 per cent. Bonds due 9th June, 2020 payable in EUR" (XS1626936543)
- "IBRD BRL Zero Coupon Notes due December 29, 2021 payable in USD" (XS1539692308)
- "KFW BRL 10.00 per cent. Notes due March 22, 2019 payable in EUR" (XS1384280522)
- "IBRD BRL 11.75 per cent. BRL/USD FX Linked Notes due 4 November 2020 payable in USD" (XS1315186921)
- "IFC BRL Zero Coupon due May 26,2027 payable in USD" (XS1621760302)
- "IFC BRL Fixed Rate Notes due 9 May 2022 payable in USD" (XS1608102973)
- "KFW MXN 7.50 per cent. Notes due December 7, 2023" (XS1558635790)
- "EIB BRL 8.000 per cent. Bonds due 9th June, 2020 payable in EUR" (XS1626936543)
- "IBRD BRL Zero Coupon Notes due December 29, 2021 payable in USD" (XS1539692308)
- "KFW BRL 10.00 per cent. Notes due March 22, 2019 payable in EUR" (XS1384280522)
- "IBRD BRL 11.75 per cent. BRL/USD FX Linked Notes due 4 November 2020 payable in USD" (XS1315186921)
- "IFC BRL Zero Coupon due May 26,2027 payable in USD" (XS1621760302)
- "IFC BRL Fixed Rate Notes due 9 May 2022 payable in USD" (XS1608102973)
- "KFW MXN 7.50 per cent. Notes due December 7, 2023" (XS1558635790)
Notizie Inizio Negoziazione
BTP in distribuzione