HSBC BANK/IND 20160219, IT0006712381 ISIN Databáze
HSBC BANK/IND 20160219 - OBBLIGAZIONI STRUTTURATE
ISIN IT0006712381 | HSBC BANK/IND 20160219 |
---|---|
Cfi code | DTVUFB |
Codvecom | 440C |
Coupon frequency | SEMESTRALE |
Currency | 242 |
Currency description | EURO UNIONE ECONOMICA E MONETARIA |
Date fi | 2099-12-31 |
Date in | 2012-10-03 |
First coupon payment date | 2010-08-04 |
First coupon rate | |
Form | PORTATORE |
Interest | 3 |
Interest rate | |
Issue date | 2010-02-19 |
Issuer | 00031MIDLA0 |
Issuer country | REGNO UNITO |
Issuer country code | 31 |
Issuer long name | |
Maturity date | 2016-02-19 |
Nominal | None |
Nominal | 1000 |
Period | S |
Repayment date | |
Sector | OBBLIGAZIONI STRUTTURATE |
Share tip | B |
Type of interest | STRUTTURATO |
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INF336L01BW8 | HSBC BFDP DIVPAY HSBC ASSET MGNT (INDIA) PVT LTD#HSBC MF-HSBC BRAZIL FUND-DIRECT PLAN-DIV PAYOUT | 10.0000 |
INF336L01BX6 | HSBC BFDP DIVRINV HSBC ASSET MGNT (INDIA) PVT LTD#HSBC MF-HSBC BRAZIL FUND-DIRECT PLAN-DIV REINV | 10.0000 |
INF336L01BY4 | HSBC BFDP GR HSBC ASSET MGNT (INDIA) PVT LTD#HSBC MF-HSBC BRAZIL FUND-DIRECT PLAN -GROWTH | 10.0000 |
INF336L01172 | HSBC BRAZILFD DIV-P HSBC ASSET MANAGEMENT (INDIA) PVT LTD-HSBC MUTUAL FUND-HSBC BRAZIL FUND- DIVIDEND PAYOUT OPTION | 10.0000 |
Tiempo: 22 de diciembre de 2024 a las 19:01
Londres tiempo: | 22 de diciembre de 2024 a las 18:01 |
NY tiempo: | 22 de diciembre de 2024 a las 13:01 |
Tokio tiempo: | 23 de diciembre de 2024 a las 03:01 |