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El boletín diario de operaciones recoge las ... - BME Renta Fija

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viernes, 02 <strong>de</strong> diciembre <strong>de</strong> 2011 Nº 4.985<br />

Bonos, Cédu<strong>las</strong> y Obligaciones (continuación)<br />

Descripción <strong>de</strong> la emisión Cod Saldo Último precio<br />

ISIN Cód Emisor Serie Cupón Fecha vto. Mon Rep Circulación Precio Fecha<br />

ES0214987028 OS Caja Extremadura Sb VBLE 15-11-17 EUR A 33.483,00 100,000 01-11-11<br />

ES0214987044 OS Caja Extremadura Sb VBLE 21-10-19 EUR A 35.000,00 100,000 01-11-11<br />

ES0214987069 OS Caja Extremadura Sb VBLE 01-04-20 EUR A 35.000,00 100,000 01-11-11<br />

ES0214987077 OS Caja Extremadura Sb VBLE 25-04-21 EUR A 50.000,00 79,710 08-11-11<br />

ES0214979082 OS Caja Guadalajara Sb VBLE 01-10-12 EUR A 689,00 99,642 02-09-11<br />

ES0214979116 OS Caja Guadalajara Sb VBLE 01-10-13 EUR A 4.000,00 99,999 11-10-11<br />

ES0214979132 OS Caja Guadalajara Sb VBLE 25-10-14 EUR A 4.000,00 99,999 05-04-11<br />

ES0214979157 OS Caja Guadalajara Sb VBLE 28-11-15 EUR A 3.500,00 80,526 26-10-10<br />

ES0214979173 OS Caja Guadalajara Sb VBLE 27-12-17 EUR A 7.000,00 100,000 19-08-11<br />

ES0214979181 OS Caja Guadalajara Sb VBLE 30-12-19 EUR A 8.500,00 *<br />

ES0414983215 CH Caja Insular Canarias 3,870 12-06-12 EUR A 20.000,00 - -<br />

ES0214983084 OS Caja Insular Canarias Sb VBLE 01-08-12 EUR A 24.000,00 99,999 11-11-11<br />

ES0214983092 OS Caja Insular Canarias Sb VBLE 01-11-13 EUR A 29.787,50 99,994 06-10-11<br />

ES0214983118 OS Caja Insular Canarias Sb VBLE 12-04-15 EUR A 60.000,00 91,560 08-11-11<br />

ES0214983142 OS Caja Insular Canarias Sb VBLE 02-09-19 EUR A 21.150,00 96,760 06-07-11<br />

ES0214983100 OS Caja Insular Canarias Sb VBLE 31-12-19 EUR A 10.000,00 - -<br />

ES0214983134 OS Caja Insular Canarias Sb VBLE Perpetua EUR A 17.200,00 62,747 28-12-10<br />

ES0415462003 CH Caja Laboral VBLE 17-10-19 EUR A 75.000,00 - -<br />

ES0414950750 CH Caja Madrid 4,000 29-12-11 EUR A 788.800,00 - -<br />

ES0414950735 CH Caja Madrid 5,130 10-01-12 EUR A 25.000,00 - -<br />

ES0214950158 OS Caja Madrid VBLE 09-02-12 EUR A 1.000.000,00 98,580 01-12-11<br />

ES0414950768 CH Caja Madrid 3,500 17-02-12 EUR A 532.900,00 - -<br />

ES0414950586 CH Caja Madrid 5,250 01-03-12 EUR A 1.500.000,00 100,325 16-11-11<br />

ES0314950595 BS Caja Madrid VBLE 30-03-12 EUR A 21.000,00 100,000 31-03-10<br />

ES0214950059 OS Caja Madrid Sb 6,250 10-04-12 EUR A 550.000,00 99,125 24-11-11<br />

ES0314950645 BS Caja Madrid 4,900 30-04-12 EUR A 5.000,00 100,000 26-08-10<br />

ES0214950133 OS Caja Madrid VBLE 01-06-12 EUR A 1.500.000,00 97,033 29-11-11<br />

ES0314950322 BS Caja Madrid VBLE 18-02-13 EUR A 200.000,00 100,000 19-02-08<br />

ES0414950826 CH Caja Madrid 3,500 14-03-13 EUR A 1.325.000,00 97,710 21-11-11<br />

ES0414950818 CT Caja Madrid VBLE 26-07-13 EUR A 300.000,00 100,000 27-07-10<br />

ES0314950686 BS Caja Madrid VBLE 30-11-13 EUR A 300.000,00 97,250 14-11-11<br />

ES0414950834 CH Caja Madrid VBLE 17-02-14 EUR A 2.000.000,00 100,000 18-02-11<br />

ES0414950677 CT Caja Madrid 4,250 21-02-14 EUR A 1.525.000,00 97,099 23-11-11<br />

ES0314950553 BS Caja Madrid VBLE 17-03-14 EUR A 50.000,00 79,673 16-06-11<br />

ES0314950561 BS Caja Madrid VBLE 17-03-14 EUR A 52.000,00 81,473 16-06-11<br />

ES0414950842 CH Caja Madrid 4,875 31-03-14 EUR A 750.000,00 97,029 02-12-11<br />

ES0214950125 OS Caja Madrid Sb VBLE 15-07-14 EUR A 87.700,00 81,470 18-11-11<br />

ES0414950594 CH Caja Madrid 5,000 30-10-14 EUR A 1.500.000,00 96,750 30-11-11<br />

ES0414950784 CH Caja Madrid 3,500 13-11-14 EUR A 1.750.000,00 93,060 01-12-11<br />

ES0314950603 BS Caja Madrid VBLE 30-04-15 EUR A 70.000,00 94,500 03-05-10<br />

ES0314950611 BS Caja Madrid VBLE 30-04-15 EUR A 70.000,00 94,500 03-05-10<br />

ES0314950629 BS Caja Madrid VBLE 02-06-15 EUR A 20.000,00 94,500 03-06-10<br />

ES0314950637 BS Caja Madrid VBLE 02-06-15 EUR A 20.000,00 94,500 03-06-10<br />

ES0214950067 OS Caja Madrid Sb VBLE 16-06-15 EUR A 50.000,00 - -<br />

ES0214950216 OS Caja Madrid Sb 5,116 15-07-15 EUR A 162.300,00 98,005 26-10-10<br />

ES0414950636 CH Caja Madrid 3,500 14-12-15 EUR A 2.000.000,00 90,260 29-11-11<br />

ES0414950560 CH Caja Madrid 5,750 29-06-16 EUR A 1.000.000,00 102,000 07-10-11<br />

ES0414950669 CH Caja Madrid 4,250 05-07-16 EUR A 2.644.050,00 94,015 23-11-11<br />

ES0214950232 OS Caja Madrid VBLE 27-07-16 EUR A 32.000,00 94,300 28-07-10<br />

ES0414950776 CH Caja Madrid 3,625 05-10-16 EUR A 1.750.000,00 88,430 02-12-11<br />

ES0214950166 OS Caja Madrid Sb VBLE 17-10-16 EUR A 750.000,00 47,022 01-12-11<br />

Continúa en la página siguiente ...<br />

Palacio <strong>de</strong> la Bolsa. Plaza <strong>de</strong> la Lealtad, 1 28014 Madrid (España). Tfno. 917095000<br />

Fax 915974403 http://www.aiaf.es<br />

- 22 <strong>de</strong> 101 -

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