XS1451523721, KUNTA1.125 09/19
KUNTA1.125 09/19, ISIN XS1451523721 - Securities depository info
Full name | KUNTA1.125 09/19 |
Short name | KUNTA1.125 09/19 |
Source issue | - |
ISIN | XS1451523721 |
BIC | - |
Issuer Name | MUNICIPALITY FINANCE PLC |
Issuer ID | 8880466373 (Trade register) |
Nominal currency | USD |
Nominal Value | 1 000 |
Issued Volume | 1 000 000 |
Number of instrument units on accounts | - |
Volume of the issue | 1 000 000 000 |
Volume of the issue in accounts | - |
Nominal type | konstantní |
Tradable | není registrována na reg.trhu |
Security type | dluhopis |
Convertability | volně převoditelná emise |
Security form | na doručitele |
Shape | zaknihovaný CP |
Registration state | Euroclear 2 |
Date of Registration | 12.5.2017 |
Change date | 12.5.2017 |
Maturity Date | 16.9.2019 |
Date of Cancellation | 17.9.2019 |
Trading Currency | USD |
Tradable unit | v procentech |
Group Code | 9 |
Status | cancelled |
Manager ID | - |
Manager ID | - |
Administrator ID | - |
Administrator | - |
TVAL | 100 |
Issuer KUNTA1.125 09/19
Issuer name | MUNICIPALITY FINANCE PLC |
Postal address - name | - |
ID number | 8880466373 (Trade register) |
Addres - Street | JAAKONKATU 3A |
City | HELSINKI |
ZIP | 2 |
Country | FIN |
Postal address - Street | - |
City | - |
ZIP | - |
Country | - |
Subject type | emitent |
Subject category | zahraniční právnická osoba |
Subject category | zahraniční právnická osoba |
Change date | 12.5.2017 |
Change type | platná/ý |
List of other issues, MUNICIPALITY FINANCE PLC
ISIN | Name | Published/Closed |
---|---|---|
XS1846578307 | KUNTA0.1 10/21 TAP | 20.07.2018 / 23.03.2022 |
XS1788579917 | KUNTA2.875 03/23 | 06.04.2018 / 23.03.2022 |
XS1382791546 | KUNTA0.1 10/21 | 12.02.2018 / 23.03.2022 |
XS1451523721 | KUNTA1.125 09/19 | 12.05.2017 / 17.09.2019 |
XS1551060426 | KUNTA0 02/20 | 12.05.2017 / 10.02.2020 |
XS1578296532 | KUNTA2.375 03/22 | 12.05.2017 / 23.03.2022 |