CZ0003510596, FAIR CREDIT INTERNATIONAL, SE, 7,50%, 2013-2019

FAIR CREDIT INTERNATIONAL, SE, 7,50%, 2013-2019, ISIN CZ0003510596 - Securities depository info

Full nameFAIR CREDIT INTERNATIONAL, SE, 7,50%, 2013-2019
Short nameFCI PRIVAT 7,50/19
Source issue-
ISINCZ0003510596
BICBDBFAIRC
Issuer NameFair Credit International, SE
Issuer ID04424115 (Trade register)
Nominal currencyCZK
Nominal Value100 000
Issued Volume2 995
Number of instrument units on accounts0
Volume of the issue299 500 000
Volume of the issue in accounts0
Nominal typekonstantní
Tradablenení registrována na reg.trhu
Security typedluhopis
Convertabilityvolně převoditelná emise
Security formna jméno
Shapezaknihovaný CP
Registration stateCDCP
Date of Registration28.2.2013
Change date28.3.2017
Maturity Date1.3.2019
Date of Cancellation4.3.2019
Trading CurrencyCZK
Tradable unitv procentech
Group Code9
Statuscancelled
Manager ID-
Manager ID-
Administrator ID63907020 (Trade register)
AdministratorCYRRUS
TVAL100

Issuer FAIR CREDIT INTERNATIONAL, SE, 7,50%, 2013-2019

Issuer nameFair Credit International, SE
Postal address - name-
ID number04424115 (Trade register)
Addres - StreetKubánské náměstí 1391/11
CityPraha 10 - Vršovice
ZIP10 000
CountryCZE
Postal address - Street-
City-
ZIP-
Country-
Subject typeemitent
Subject categoryprávnická osoba
Subject categoryprávnická osoba
Change date11.10.2016
Change typeplatná/ý

List of other issues, Fair Credit International, SE

ISINNamePublished/Closed
CZ0003515520 Fair Credit International, SE, 5,00%, 2017 - 2021 09.01.2017 / 19.01.2021
CZ0003511230 FAIR CREDIT INTERNATIONAL, SE, 7,00%, 2014-2017 21.03.2014 / 03.04.2017
CZ0003510596 FAIR CREDIT INTERNATIONAL, SE, 7,50%, 2013-2019 28.02.2013 / 04.03.2019
CZ0003703514 FAIR CREDIT INTERNATIONAL, SE, 8,00%,2012-2018 21.12.2012 / 31.12.2018

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