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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 />

IT0004622764 EMILBANCA <strong>15</strong> 3.25% 09/07/2011<br />

IT0004622772 EMILBANCA 13 2.75% 09/07/2011<br />

IT0004622780 EMILBANCA 10/<strong>15</strong> 2.4% 09/07/2011<br />

IT0004622798 EMILBANCA 14 2.1% 09/07/2011<br />

IT0004622806 EMILBANCA 12 1.35% 09/07/2011<br />

IT0004622814 B.VALDARNO 10/13 S‐U 06/07/2011<br />

IT0004622822 ROVIGOBANCA 10/<strong>15</strong> SU 07/07/2011<br />

IT0004622830 ANTONVENETA 13 TV 06/09/2011<br />

IT0004622848 ANTONVENETA 10/12 ZC 06/09/2012<br />

IT0004622855 B.CRV 10/<strong>15</strong> S‐U 08/07/2011<br />

IT0004622863 B.CRV 10/13 1.70% 08/07/2011<br />

IT0004622871 POP.PUGLIA 13 2.25% 02/05/2011<br />

IT0004622889 POP.PUGLIA 10/17 3.5 02/08/2011<br />

IT0004622897 B.DESIO 10/17 3.25% 19/07/2011<br />

IT0004622905 POP.RAVENNA 13 2.05% 12/07/2011<br />

IT0004622913 CRU A.GARDA 10/13 SU 09/08/2011<br />

IT0004622939 TRE VENEZIE 13 1.56% <strong>15</strong>/07/2011<br />

IT0004622954 CR BURGRAVIATO 13 SU 05/07/2011<br />

IT0004622962 CR BURGRAVIATO 13 SU 05/07/2011<br />

IT0004622970 B.SICILIA 10/<strong>15</strong> TV 30/03/2011<br />

IT0004622988 BCC TREVIGLIO 12 2% <strong>15</strong>/07/2011<br />

IT0004622996 B.SICILIA 10/13 TV 30/03/2011<br />

IT0004623002 POP BERGAMO 13 3.99% 21/07/2011<br />

IT0004623010 POP BERGAMO 13 3.99% 05/07/2011<br />

IT0004623028 POP BERGAMO 13 3.98% 12/07/2011 / /<br />

IT0004623036 CDP 10/12 TV 13/04/2011<br />

IT0004623051 PIRELLI & C.ORD SVN<br />

IT0004623069 CREDIVENETO 10/18 SU 08/07/2011<br />

IT0004623077 B.ADRIA 10/13 SU 20/07/2011<br />

IT0004623085 B.VALDICH.10/13 TV <strong>15</strong>/07/2011<br />

IT0004623093 B.VALDICH.10/13 2.20 <strong>15</strong>/07/2011<br />

IT0004623101 B.VALDICH.10/<strong>15</strong> 3% <strong>15</strong>/07/2011<br />

IT0004623119 BCC.B.LODIG. <strong>15</strong> S.UP 20/07/2011<br />

IT0004623127 BCC B.LODIG. 13 1.75 19/07/2011<br />

IT0004623135 B.BEDIZZOLE 10/12 3% 14/07/2011<br />

IT0004623143 BNL 10/13 TV 30/04/2011<br />

IT0004623<strong>15</strong>0 POP PUGLIESE <strong>15</strong> 3.10 04/08/2011<br />

IT0004623168 POP PUGLIESE 13 2.30 04/08/2011<br />

IT0004623176 POP PUGLIESE 12 2.00 04/08/2011<br />

IT0004623184 CR PR PC 10/12 2.30% 05/10/2011<br />

IT0004623192 CR A‐BRENTA 10/13 TM 08/07/2011<br />

IT0004623200 CR A‐BRENTA 10/14 ZC 08/07/2014<br />

IT0004623218 CR A‐BRENTA 10/<strong>15</strong> TM 08/07/2011<br />

IT0004623226 CR A‐BRENTA 13 2.30% 08/07/2011<br />

IT0004623259 CR.BRA 10/<strong>15</strong> 2.25% 16/07/2011<br />

IT0004623267 C.ARETUSEO 10/13 SU 31/08/2011<br />

IT0004623275 CRED.ART. 10/12 TV 31/03/2011<br />

IT0004623283 CR VOLTER.10/14 2.7% <strong>15</strong>/07/2011<br />

Fungibilità

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