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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 />

IT0004237431 CERT ALE FTSE/MIB C<br />

IT0004237647 CAPITALIA 07/11 TM 29/06/2011<br />

IT0004237670 CAPITALIA 07/11 TM 28/06/2011<br />

IT0004237696 CREDICO FUNDING 3 A1 10/06/2011<br />

IT0004237704 CREDICO FUNDING 3 A2 10/06/2011<br />

IT0004237712 CREDICO FUNDING 3 B 10/06/2011<br />

IT0004237720 CREDICO FUNDING 3 C 10/06/2011<br />

IT0004237738 CREDICO FUNDING 3 D 10/06/2011<br />

IT0004237746 CREDICO FUNDING 3 E 10/06/2011<br />

IT0004237753 CREDICO FUNDING 3 F 10/06/2011<br />

IT0004238231 B.CRV 07/11 TV <strong>15</strong>/06/2011<br />

IT0004238306 CREDIOP 07/11 TM 26/06/2011<br />

IT0004238314 CREDIOP 07/11 TM 26/06/2011<br />

IT0004238348 CREDEM 07/12 OC 04/06/2012<br />

IT0004238421 B.SELLA 07/11 TV 01/07/2011<br />

IT0004238470 CR AL 07/11 3.40% 03/07/2011<br />

IT0004238512 MED‐FVG 07/13 ZC 29/06/2013<br />

IT0004238629 MELIORBANCA 07/12 ZC 28/06/2012<br />

IT0004239353 BP MORTGAGES 2 07/44 20/04/2011<br />

IT0004239379 BP MORTGAGES 2 07/44 20/04/2011<br />

IT0004239395 BP MORTGAGES 2 07/44 20/04/2011<br />

IT0004239403 BP MORTGAGES 2 07/44 20/04/2011<br />

IT0004239429 BP MORTGAGES 2 07/44 20/04/2011<br />

IT0004239510 SNIA ORD POST RAGGR.<br />

IT0004239726 B.MPS 07/11 / TM 18/07/2011 / /<br />

IT0004239759 VENETO B.07/12 ZC 18/06/2012<br />

IT0004240328 POP INTRA 07/11 TV 18/06/2011<br />

IT0004240351 POSILLIPO FIN A2 30/05/2011<br />

IT0004240377 POSILLIPO FIN II A1 30/05/2011<br />

IT0004240443 PIQUADRO ORDINARIE<br />

IT0004240658 B.ETRURIA 12 TV 14/06/2011<br />

IT0004240690 B.CARIGE 07/11 4.25 05/07/2011<br />

IT00042408<strong>15</strong> POP.CROTONE 12 TV 13/06/2011<br />

IT0004240831 POP.CROTONE 11 4.20 13/06/2011<br />

IT0004240849 POP.CROTONE 12 4.3 13/06/2011<br />

IT0004240856 CERT ALE ENEL C<br />

IT0004241078 VENETO B.07/17 SU 21/03/2011<br />

IT000424<strong>15</strong>24 POP MATERAN 07/12 ZC 29/06/2012<br />

IT0004242092 B.ROMAGNA 07/12 TV 05/07/2011<br />

IT0004242498 B.TOSCANA 07/12 TV 13/04/2011<br />

IT0004242829 B.SARDEGNA 07/12 SU <strong>15</strong>/06/2011<br />

IT0004243371 BIVERBANCA 07/12 4.5 01/07/2011<br />

IT0004243413 BIVERBANCA 17 4.75% 01/07/2011<br />

IT0004243421 BIVERBANCA 07/17 TV 01/07/2011<br />

IT0004243512 BTP 07/23 2.6% IND. <strong>15</strong>/09/2011<br />

IT0004243710 MEDIOBANCA 07/12 TM 17/08/2011<br />

IT0004244163 POP.MILANO 17 3.625% 16/07/2011<br />

IT0004244171 POP.MILANO 12 3.625% 16/07/2011<br />

Fungibilità

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