770030000283, XLOYALTY MANAGEMENT CZ, A.S.

XLOYALTY MANAGEMENT CZ, A.S., ISIN 770030000283 - Securities depository info

Full nameXLOYALTY MANAGEMENT CZ, A.S.
Short nameXLOYALTY MANAG. CZ
Source issue-
ISIN770030000283
BICBAAXLOYM
Issuer NameXLOYALTY MANAGEMENT
Issuer ID27099300 (Trade register)
Nominal currencyCZK
Nominal Value1 000
Issued Volume2 000
Number of instrument units on accounts0
Volume of the issue2 000 000
Volume of the issue in accounts0
Nominal typekonstantní
Tradablenení registrována na reg.trhu
Security typeakcie
Convertabilityemise s omezenou převoditelností
Security formna jméno
Shapezaknihovaný CP
Registration stateCDCP
Date of Registration2.7.2010
Change date12.8.2010
Maturity Date-
Date of Cancellation12.8.2010
Trading CurrencyCZK
Tradable unitv jednotkách měny
Group Code7
Statuscancelled
Manager ID-
Manager ID-
Administrator ID-
Administrator-
TVAL0

Issuer XLOYALTY MANAGEMENT CZ, A.S.

Issuer nameXLOYALTY MANAGEMENT
Postal address - nameXLOYALTY MANAGEMENT
ID number27099300 (Trade register)
Addres - StreetSlezská 844/96
CityPraha 3
ZIP13 000
CountryCZE
Postal address - StreetSlezská 844/96
CityPraha 3
ZIP13 000
CountryCZE
Subject typeemitent
Subject categoryprávnická osoba
Subject categoryprávnická osoba
Change date2.7.2010
Change typeplatná/ý

List of other issues, XLOYALTY MANAGEMENT

ISINNamePublished/Closed
770030000283 XLOYALTY MANAGEMENT CZ, A.S. 02.07.2010 / 12.08.2010
CZ0008466307 XLOYALTY MANAGEMENT CZ, A.S. 02.07.2010 / 15.12.2010

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