DE000LB09PR3, LBBW0.05 11/21

LBBW0.05 11/21, ISIN DE000LB09PR3 - Securities depository info

Full nameLBBW0.05 11/21
Short nameLBBW0.05 11/21
Source issue-
ISINDE000LB09PR3
BIC-
Issuer NameLandesbank Baden-Würtenberg
Issuer ID8880073053 (Trade register)
Nominal currencyEUR
Nominal Value1 000
Issued Volume750 000
Number of instrument units on accounts-
Volume of the issue750 000 000
Volume of the issue in accounts-
Nominal typekonstantní
Tradablenení registrována na reg.trhu
Security typedluhopis
Convertabilityvolně převoditelná emise
Security formna doručitele
Shapezaknihovaný CP
Registration stateEuroclear 2
Date of Registration20.7.2018
Change date-
Maturity Date11.11.2021
Date of Cancellation23.3.2022
Trading CurrencyEUR
Tradable unitv procentech
Group Code9
Statuscancelled
Manager ID-
Manager ID-
Administrator ID-
Administrator-
TVAL100

Issuer LBBW0.05 11/21

Issuer nameLandesbank Baden-Würtenberg
Postal address - name-
ID number8880073053 (Trade register)
Addres - StreetAm Hauptbahnhof 2
CityStuttgart
ZIP70 178
CountryDEU
Postal address - Street-
City-
ZIP-
Country-
Subject typeemitent
Subject categoryprávnická osoba
Subject categoryprávnická osoba
Change date20.1.2014
Change typezrušená/ý

List of other issues, Landesbank Baden-Würtenberg

ISINNamePublished/Closed
DE000LB00CM1 LBBW0.75 11/22 20.07.2018 / 23.03.2022
DE000LB06DE3 LBBW0.25 10/21 20.07.2018 / 23.03.2022
DE000LB09PR3 LBBW0.05 11/21 20.07.2018 / 23.03.2022
DE000LB1M2X2 LBBW0.25 01/25 20.07.2018 / 23.03.2022
DE000LB1P9C8 LBBW0.125 06/23 20.07.2018 / 23.03.2022
DE000LBW0PP2 EUR 4,00 LBK BADEN-WUERTT. (OPF MTN) 08-2013 27.06.2011 / 27.08.2013
DE000LBW3Q69 EUR 4,5 LBK BADEN-WUERTT. 07-2012 27.06.2011 / 08.10.2012
DE000LBW6P00 EUR 3,25 LANDESBK BADEN-WUERTT.(1084)06-2013 27.06.2011 / 18.02.2013
DE000LB0ECU9 EUR 1,75 LBK BADEN-WUERTT. 11-2014 27.06.2011 / 20.01.2014

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