FC INT.LE MILANO AOR - Szukaj ISIN baza danych


 


ISIN nazwa, opis nominální
 HU0000012547 Le Bélier Magyarország Formaöntöde Rt. Törzsrészvény
LE BÉLIER
0.0000 
 HU0000020169 Partner Leasing Rt. Törzsrészvény
PARTNER LE "f.a."
0.0000 
 HU0000076021 PROGRESS CONSULT INTERNATIONAL Zrt. Törzsrészvény
PROGRESS CONSULT INT. Zrt.
10 000.0000 
 HU0000077219 AITIA INTERNATIONAL Informatikai Zártkörűen Működő Rt. Törzsrészvény
AITIA INT. ZRt.
100 000.0000 
 HU0000113287 Tax Controlling International Zrt. Törzsrészvény
Tax Controlling Int. Zrt.
10 000.0000 
 IN9512B01020 FCS SOFTWARE-PP 0.50
FCS SOFTWARE SOLUTIONS LIMITED - NEW PARTLY PAID EQUITY SHARES RE. 0.50/- AFTER SPLIT
5.0000 
 INC000947738 MAIZE 413713NOK
NOK-GHODAWAT FD INT-SANGLI-MAIZE - FEED/INDUSTRIAL GRADE-MAZFIG12-MAIZE-MT-VALDT05.04.13-EXP05.07.13
1.0000 
 INC000947985 MAIZE 413713NOK
NOK-GHODAWAT FD INT-SANGLI-MAIZE - FEED/INDUSTRIAL GRADE-MAZFIG21-MAIZE-MT-VALDT05.04.13-EXP05.07.13
1.0000 
 INC000949700 SUGARM200 513513NOK
NOK-GHODAWAT FD INT-SANGLI-SUGAR M-SGRMCGRD-SUGARM200-MT-VALDT05.05.13-EXP05.05.13
1.0000 
 INC000957208 MAIZE 513813NOK
NOK-GHODAWAT FD INT-SANGLI-MAIZE - FEED/INDUSTRIAL GRADE-MAZFIG21-MAIZE-MT-VALDT05.05.13-EXP05.08.13
1.0000 
 INC000957216 MAIZE 513813NOK
NOK-GHODAWAT FD INT-SANGLI-MAIZE - FEED/INDUSTRIAL GRADE-MAZFIG11-MAIZE-MT-VALDT05.05.13-EXP05.08.13
1.0000 
 INE230N03014 SUPREME 0.001 310117
SUPREME INFRASTRUCTURE BOT HOLDINGS PVT LTD#0.001%UNSC CUM NRED PART COMP FC PREF SH-RDDT 31.01.2017
10.0000 
 INE252K01026 LE WATERINA RES - EQ
LE WATERINA RESORTS AND HOTELS LIMITED - NEW EQUITY SHARES OF RE.1/- AFTER SUB-DIVISION
1.0000 
 INE512B01022 FCS SOFTWARE SOL-EQ1
FCS SOFTWARE SOLUTIONS LIMITED - NEW EQUITY SHARE OF RE 1/- AFTER SPLIT
1.0000 
 INE703H07062 HUBTOWN 25.17 221214
HUBTOWN LTD - 25.17% (INCL REG INT PLUS PREM ON RED) SEC UNRTD RED TX NCD PP RED DT- 22.12.2014
100 000.0000 
 INF109K01KH3 ICICI P IF AI-IV-R-C
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-IV -RTL PLAN-DIV PAY
10.0000 
 INF109K01KI1 ICICI P IF AI-IV-R-D
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-IV -RTL PLAN-DIV PAY
10.0000 
 INF109K01KL5 ICICI PRU IF AI-R-CG
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-I -RTL PLAN-CUM GROW
10.0000 
 INF109K01KM3 ICICI PRU IF AI-R-DP
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-I -RTL PLAN-DIV PAY
10.0000 
 INF109K01KP6 ICICI P IF AI-II-R-C
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-II -RTL PLAN-CUM GROW
10.0000 
 INF109K01KQ4 ICICI P IF AI-II-R-D
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-II -RTL PLAN-DIV PAY
10.0000 
 INF109K01KT8 ICICI PIF AI-III-R-C
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-III-RTL PLAN-CUM GROW
10.0000 
 INF109K01KU6 ICICI PIF AI-III-R-D
ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LTD-ICICI PRU INT FUND-ANNU INT PLAN-III -RTL PLAN-DIV PAY
10.0000 
 INF109K01L36 ICICI PRU MIFP I DP
ICICI PRU ASSET MANAGEMENT CO LIMITED#ICICI PRU MF-ICICI PRU INT FD MTHLY INT PL I - DIR PL-DV PAY
10.0000 
 INF109K01LI9 ICICI PRU HY RP DIV
ICICI PRUDENTIAL AMC LTD#ICICI PRU MF-ICICI PRU INTERVAL FD HALF YEARLY INT PL II- REGULAR PL-DIVD
10.0000 

czas: 8 lipca 2024 12:31:18
Londyn czas: 8 lipca 2024 11:31:18
NY czas: 8 lipca 2024 06:31:18
Tokio czas: 8 lipca 2024 19:31:18


 
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