Bonds, Bond emissions in 2001, 2001
Bond emissions registerred in the Central Securities Depository Prague, Czech
Latest Czech bond emissions
ISIN | Name | Type |
Date of change |
Nominal |
Number |
770010000394 |
STÁT.DLUHOPISŮ OPF |
share certificate-unit trust |
06.11.2001 |
1 CZK |
2 147 483 647 |
770010000360 |
TRENDBOND OPF |
share certificate-unit trust |
29.10.2001 |
1 CZK |
CZ0008471737 |
OPF CITIBOND |
share certificate-unit trust |
26.10.2001 |
10 CZK |
2 147 483 647 |
CZ0008471745 |
OPF CITIEQUITY |
share certificate-unit trust |
26.10.2001 |
10 CZK |
2 147 483 647 |
CZ0008471729 |
OPF CITIMONEY |
share certificate-unit trust |
26.10.2001 |
10 CZK |
2 147 483 647 |
770010000337 |
MOTOFOND OPF |
share certificate-unit trust |
18.10.2001 |
1 CZK |
2 147 483 647 |
CZ0008471695 |
OPF GLOBÁLNÍ |
share certificate-unit trust |
28.08.2001 |
1 CZK |
422 929 382 |
CZ0008471687 |
CITI LIQUIDITY OPF |
share certificate-unit trust |
10.07.2001 |
1 000 000 CZK |
2 147 483 647 |
770000000735 |
ARNOLD OPF |
share certificate-unit trust |
20.06.2001 |
1 CZK |
2 147 483 647 |
770000000685 |
PRESENT PROGR. OPF |
share certificate-unit trust |
23.05.2001 |
1 CZK |
2 147 483 647 |
770990002063 |
BIŽUTERIE I OPF |
share certificate-unit trust |
02.02.2001 |
200 CZK |
2 147 483 647 |
770000000776 |
MIDRUF OPF |
share certificate-unit trust |
02.02.2001 |
1 CZK |
2 147 483 647 |
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