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Elenchi strumenti finanziari 15 marzo 11.xsl - Monte Titoli

Elenchi strumenti finanziari 15 marzo 11.xsl - Monte Titoli

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Titolo Descrizione<br />

Data primo<br />

stacco<br />

IT0004105232 BIVERBANCA 06/11 TV 01/04/2011<br />

IT0004105273 DELTA IMM.FONDO<br />

IT0004105430 POP.EMILRO 12 3.7 01/07/2011<br />

IT0004105505 BNL 06/12 TV 26/03/2011<br />

IT0004105547 BNL 06/11 3.756% 26/03/2011<br />

IT0004105554 BNL 06/11 TV 26/03/2011<br />

IT0004105653 CONAFI PRESTITO SPA<br />

IT0004105828 CREDIOP 11 TM 10/10/2011<br />

IT0004112816 BTP 201109<strong>15</strong> 3.75% <strong>15</strong>/09/2011<br />

IT0004112899 POP.CROTONE 11 S‐UP 11/09/2011<br />

IT0004113160 POP.A.ADIGE 12 TV 30/03/2011<br />

IT0004113665 ANTONVENETA 14 2.8% 31/03/2011<br />

IT0004113871 POP.MILANO 11 2.875 29/03/2011<br />

IT0004113913 CREBERG 06/11 TF 31/10/2011<br />

IT0004113970 POP.MILANO 16 3% 29/03/2011<br />

IT0004114846 POLTRONA FRAU ORD.<br />

IT00041<strong>15</strong>090 B.PIEMONTE 13 3.6 26/03/2011<br />

IT00041<strong>15</strong>223 POP NOVARA 06/11 TM 31/10/2011<br />

IT00041<strong>15</strong>231 CREBERG 06/12 3.5% 25/04/2011<br />

IT00041<strong>15</strong>256 CENTRO LEASING 16 TV 27/03/2011<br />

IT00041<strong>15</strong>314 POP.BARI 12 ZC 16/10/2012<br />

IT00041<strong>15</strong>918 BENI STABILI CV 11 27/10/2011<br />

IT0004116049 CREDIOP 11 TM 21/11/2011<br />

IT0004116130 CERT ALE ENEL C<br />

IT0004116304 APULIA FIN 5 06/18 / 30/04/2011 / /<br />

IT0004116346 APULIA FIN 5 06/18 30/04/2011<br />

IT0004116353 UCI EX CAP 11 06ST17 30/10/2011<br />

IT0004116718 S.PAOLO IMI 11 3.62% 02/10/2011<br />

IT0004116726 S.PAOLO IMI 13 3.73% 02/10/2011<br />

IT0004116833 BNL 06/12 TV 17/04/2011<br />

IT0004116908 BNL 11 3.8 17/04/2011<br />

IT0004116924 BNL 06/11 TV 17/04/2011<br />

IT0004117138 CREDIOP 11 TV 30/10/2011<br />

IT0004117450 CREBERG 06/11 TV 30/04/2011<br />

IT0004118<strong>15</strong>1 POP VI. ORD 1.01.07<br />

IT0004118524 CR CESENA 06/13 TV 11/04/2011<br />

IT0004118656 FERRETTI ORD.<br />

IT0004118896 CAPITALIA 06/13 TM 27/10/2011<br />

IT0004119316 CR.SICILIANO 16 TV 30/03/2011<br />

IT0004119407 B.ETRURIA 16 S‐UP 30/04/2011<br />

IT0004119423 B.NUOVA 06/11 3.60% 06/04/2011<br />

IT0004119670 CREDIOP 11 2.25% 30/10/2011<br />

IT0004119712 CREDIOP 06/11 TV 30/10/2011<br />

IT0004119720 CAPITALIA 06/11 TM <strong>15</strong>/11/2011<br />

IT0004119803 CR AL 06/12 SU 03/11/2011<br />

IT0004119894 CREDIOP 11 TM <strong>15</strong>/11/2011<br />

IT0004120090 B.ARDITI 06/11 TV 16/04/2011<br />

IT0004120181 B.ITALEASE 06/12 ZC 22/11/2012<br />

Fungibilità

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