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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 />

IT0004570583 CR MORI 10/14 TV 01/05/2011<br />

IT0004570591 CR MORI 10/<strong>15</strong> TM 01/08/2011<br />

IT0004570658 POP. BERGAMO 13 SU 22/02/2012<br />

IT0004570666 POP. BERGAMO 12 1.70 22/08/2011<br />

IT0004570674 B.BRESCIA 10/12 1.70 01/04/2011<br />

IT0004570682 BCO BRESCIA 10/14 SU 01/09/2011<br />

IT0004570690 POP. BERGAMO 12 1.50 <strong>15</strong>/08/2011<br />

IT0004570708 BRE BANCA 10/13 1.90 26/08/2011<br />

IT0004570716 BRE BANCA 10/12 TV 26/05/2011<br />

IT0004570724 B.S.GIORGIO 10/14 TV <strong>15</strong>/08/2011<br />

IT0004570732 B.S.GIORGIO 10 S.UP <strong>15</strong>/02/2012<br />

IT0004570765 BCO BRESCIA 10/13 TV 01/09/2011<br />

IT0004570773 B.BRESCIA 10/13 S.UP 01/09/2011<br />

IT0004570880 CERT ALE CAP ENEL C<br />

IT0004571045 BCC IMPRUNETA 16 TM 20/07/2011<br />

IT0004571102 B.CRV 10/13 S‐U 21/01/2012<br />

IT0004571128 POP.RAVENNA <strong>15</strong> S UP 21/01/2012<br />

IT0004571144 CR TRENTO 10/14 SU 01/08/2011<br />

IT0004571<strong>15</strong>1 CRED.ROMAGNA 13 S‐U 02/08/2011<br />

IT0004571169 CRE.PIEMONTESE 13 SU 22/07/2011<br />

IT0004571177 CR FOSSANO 16 2.75% 21/07/2011<br />

IT0004571185 CR FOSSANO 13 1.7% 21/07/2011<br />

IT0004571227 BPCI 10/16 S‐D 4% 26/02/2012<br />

IT0004571235 POP.ANCONA 10/12 TV 26/05/2011<br />

IT0004571243 BPCI 10/13 / 1.90% 26/08/2011 / /<br />

IT0004571268 BPCI 10/16 S‐U 2% 26/02/2012<br />

IT0004571334 B.BOLOGNA 10/13 2.5% 01/08/2011<br />

IT0004571342 BCC CESENA 10/13 2% 01/08/2011<br />

IT0004571409 CR LAVIS 10/13 S.UP 01/02/2012<br />

IT0004571417 CR TRENTO 10/12 SU 01/08/2011<br />

IT0004571433 CRED.ROMAGNA <strong>15</strong> S‐U 02/08/2011<br />

IT0004571474 CRA BRENDOLA <strong>15</strong> TM 01/08/2011<br />

IT000457<strong>15</strong>24 BCC LEVERANO 12 1.75 01/08/2011<br />

IT000457<strong>15</strong>57 BCC PERGOLA 12 2.30% 01/08/2011<br />

IT000457<strong>15</strong>73 BCC PERGOLA 10/14 3% 01/08/2011<br />

IT0004571623 POP SONDRIO 25 4.55% 30/06/2011<br />

IT0004571664 POP ANCONA 12 2.20% 27/07/2011<br />

IT0004571672 POP BERGAMO 13 3.91% 29/07/2011<br />

IT0004571680 POP ANCONA 12 1.75% 26/08/2011<br />

IT0004571698 POP BERGAMO 10/12 SU 10/08/2011<br />

IT0004571706 POP BERGAMO 10/12 TV 12/05/2011<br />

IT0004571714 VENETO B.H.10/14 SU 01/08/2011<br />

IT0004571722 CRU GIUD.<strong>15</strong> SU 01/02/2012<br />

IT0004571730 CRU GIUD.10/12 SU 01/02/2012<br />

IT0004571748 VICTOR 10/17 1.66% 03/02/2012<br />

IT0004571789 B.S.G. 10/17 ZC 25/01/2017<br />

IT0004571797 B.S.GIORGIO 10/13 SU 25/07/2011<br />

IT0004571805 B.S.GIORGIO 10/14 SU 25/07/2011<br />

Fungibilità

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