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 |