PRAMAC/AOR, IT0001493581 ISIN Databáze

PRAMAC/AOR - AZIONI ORDINARIE

 ISIN IT0001493581 PRAMAC/AOR
 Cfi code   ESVUFR
 Codvecom   910A
 Coupon frequency  
 Currency   242
 Currency description   EURO UNIONE ECONOMICA E MONETARIA
 Date fi   2099-12-31
 Date in   2013-07-22
 First coupon payment date  
 First coupon rate  
 Form   NOMINATIVO
 Interest  
 Interest rate  
 Issue date  
 Issuer   01012470520
 Issuer country   ITALIA
 Issuer country code   86
 Issuer long name   PRAMAC S.P.A. - SOCIETA IN LIQUIDAZIONE -
 Maturity date  
 Nominal   None
 Nominal  
 Period  
 Repayment date  
 Sector   AZIONI ORDINARIE
 Share tip   R
 Type of interest  

ISIN database - Stocks, Bonds, Equities, Debt Instruments, Options, Futures and Entitlements
 

Podobny typ ISIN


ISIN nazwa, opis nominální
 INF663L01013 PRAMF EQUITY GROWTH
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA EQUITY FUND-GROWTH
10.0000 
 INF663L01021 PRAMF EQUITY DV POUT
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA EQUITY FUND-DIVIDEND PAYOUT
10.0000 
 INF663L01039 PRAMF EQUITY DV RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA EQUITY FUND-DIVIDEND REINVESTMENT
10.0000 
 INF663L01047 PRAMF DYNAMIC GROWTH
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA DYNAMIC FUND- GROWTH
10.0000 
 INF663L01054 PRAMF DYNAMIC D-POUT
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA DYNAMIC FUND- DIVIDEND PAYOUT
10.0000 
 INF663L01062 PRAMF DYNAMIC D-RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA DYNAMIC FUND- DIV RINV
10.0000 
 INF663L01070 PRAMF LQ GROWTH
PRAMERICA ASSET MANAGEMENT COMPANY LIMITED-PRAMERICA MUTUAL FUND-PRAMERICA LIQUID FUND-GROWTH
1 000.0000 
 INF663L01088 PRAMF LQ D-DIV RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA LIQUID FUND-DAILY DIVIDEND REINVESTMENT
1 000.0000 
 INF663L01096 PRAMF LQ W-DIV RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA LIQUID FUND-WEEKLY DIVIDEND REINVESTMENT
1 000.0000 
 INF663L01104 PRAMF LQ F-DIV RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA LIQUID FUND-FORTNIGHTLY DIVIDEND REINVEST
1 000.0000 
 INF663L01112 PRAMF LQ M-DIV RINV
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA LIQUID FUND-MONTHLY DIVIDEND REINVESTMENT
1 000.0000 
 INF663L01120 PRAMF LQ F-DIV POUT
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA LIQUID FUND-FORTNIGHTLY DIVIDEND PAYOUT
1 000.0000 
 INF663L01138 PRAMF LQ M-DIV POUT
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MUTUAL FUND-PRAMERICA LIQUID FUND-MONTHLY DIVIDEND POUT
1 000.0000 
 INF663L01146 PRAMF USBF GR
PRAMERICA AM PVT LTD#PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-GROWTH OPT
1 000.0000 
 INF663L01153 PRAMF USTBF D-DIV R
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-DAILY DIV RINV
1 000.0000 
 INF663L01161 PRAMF USTBF W-DIV R
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-WEEKLY DIV RINV
1 000.0000 
 INF663L01179 PRAMF USTBF F-DIV R
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-FORTNITLY D-RINV
1 000.0000 
 INF663L01187 PRAMF USTBF M-DIV R
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-MONTHLY DIV RINV
1 000.0000 
 INF663L01195 PRAMF USTBF F-DIV P
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-FORTNITLY D-POUT
1 000.0000 
 INF663L01203 PRAMF USTBF M-DIV P
PRAMERICA ASSET MANAGEMENT CO LTD-PRAMERICA MF-PRAMERICA ULTRA SHORT TERM BOND FUND-MONTHLY DIV POUT
1 000.0000 

czas: 26 listopada 2024 15:31:43
Londyn czas: 26 listopada 2024 14:31:43
NY czas: 26 listopada 2024 09:31:43
Tokio czas: 26 listopada 2024 23:31:43


 
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