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ISIN Code CVM Code Issue Type Integration date Issuer name Nominal value Currency Pool Factor Registered Quantity Quantity Type
PTAAPBIM0006 AAPBIM ACTIVECAP I - PORTUGUESE GROWTH FUND, FCR FECHADO - SUBFUNDO PGF - CATEGORIA B Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 295 UNIT
PTAAPEIM0003 AAPEIM ACTIVECAP I - PORTUGUESE GROWTH FUND, FCR FECHADO - SUBFUNDO PGF - CATEGORIA C Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 7,270 UNIT
PTAAPCIM0005 AAPCIM ACTIVECAP I - PORTUGUESE GROWTH FUND, FCR FECHADO - SUBFUNDO PGF IeD - CATEGORIA A Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 26,120 UNIT
PTAAPDIM0004 AAPDIM ACTIVECAP I - PORTUGUESE GROWTH FUND, FCR FECHADO - SUBFUNDO PGF IeD - CATEGORIA B Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 5 UNIT
PTAAPJIM0008 AAPJIM ACTIVECAP IeD II - FCR FECHADO - CATEGORIA A Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 17,675 UNIT
PTAAPKIM0005 AAPKIM ACTIVECAP IeD II - FCR FECHADO - CATEGORIA B Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 120 UNIT
PTAAPTIM0006 AAPTIM ACTIVECAP IeD III - FCR FECHADO - CATEGORIA A Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 1,900 UNIT
PTAAPUIM0003 AAPUIM ACTIVECAP IeD III - FCR FECHADO - CATEGORIA B Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 25 UNIT
PTAAPFIM0002 AAPFIM ACTIVECAP II - PORTUGUESE GROWTH FUND, FCR FECHADO - CATEGORIA A1 Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 30,977 UNIT
PTAAPGIM0001 AAPGIM ACTIVECAP II - PORTUGUESE GROWTH FUND, FCR FECHADO - CATEGORIA A2 Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 8,450 UNIT
PTAAPHIM0000 AAPHIM ACTIVECAP II - PORTUGUESE GROWTH FUND, FCR FECHADO - CATEGORIA B Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 800 UNIT
PTAAPIIM0009 AAPIIM ACTIVECAP II - PORTUGUESE GROWTH FUND, FCR FECHADO - CATEGORIA C Participation Units ACTIVECAP - CAPITAL PARTNERS, SCR, S.A. 1,000.00 EUR 20,400 UNIT
PTAPLXAM0005 APLXAM ADMINISTRACAO DO PORTO DE LISBOA, SA Shares APL - ADMINISTRAÇÃO DO PORTO DE LISBOA, S.A. 5.00 EUR 12,000,000 UNIT
PTAPTXAM0007 APTXAM ADMINISTRACAO DOS PORTOS DE SETUBAL E SESIMBRA, S.A. Shares APSS - ADMINISTRAÇÃO DOS PORTOS DE SETÚBAL E SESIMBRA, S.A. 5.00 EUR 3,020,000 UNIT
PTADPBOM0005 ADPBOM ADP FERTILIZANTES/2020 - 51.371.000 EUR - 2030/01/22 Bonds ADP FERTILIZANTES, S.A. 1.00 EUR 0.000000000000 51,371,000 FAMT
PTADOBOM0006 ADOBOM ADP-AGUAS PORT./07-EUR 150 M.FLOAT.RATE NOTES DUE 2027 Bonds ADP - ÁGUAS DE PORTUGAL, SGPS, SA 50,000.00 EUR 0.000000000000 150,000,000 FAMT
PTADODOM0004 ADODOM ADP-AGUAS PORT./2016-EUR 75 M. FLOATING RATE NOTES-2028 Bonds ADP - ÁGUAS DE PORTUGAL, SGPS, SA 18,181.82 EUR 0.181818181100 75,000,000 FAMT
PTPQI0AM0002 PQI AM AEP - GESTAO E PARTICIPACOES, S.A. Shares AEP - GESTÃO E PARTICIPAÇÕES, S.A. 5.00 EUR 20,000 UNIT
PTGPTEOM0008 GPTEOM AGITAPRECEITOS/2024 - EUR 2.607.605 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 2,607,605 FAMT
PTGPTBOM0001 GPTBOM AGITAPRECEITOS/2024 - EUR 694.039 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 694,039 FAMT
PTGPTAOM0028 GPTAOM AGITAPRECEITOS/2024 - UP TO EUR 18.500.000 - FIXED RATE NOTES - DUE 2034 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,231,908 FAMT
PTGPTFOM0007 GPTFOM AGITAPRECEITOS/2025 - EUR 1.140.207 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,140,207 FAMT
PTGPTHOM0005 GPTHOM AGITAPRECEITOS/2025 - EUR 1.388.078 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,388,078 FAMT
PTGPTGOM0006 GPTGOM AGITAPRECEITOS/2025 - EUR 1.487.227 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,487,227 FAMT
PTGPTCOM0000 GPTCOM AGITAPRECEITOS/2025 - EUR 1.745.013 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,745,013 FAMT
PTGPTJOM0003 GPTJOM AGITAPRECEITOS/2025 - EUR 1.824.702 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 1,824,702 FAMT
PTGPTKOM0000 GPTKOM AGITAPRECEITOS/2025 - EUR 2.538.201 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 2,538,201 FAMT
PTGPTIOM0004 GPTIOM AGITAPRECEITOS/2025 - EUR 634.180 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 634,180 FAMT
PTGPTDOM0009 GPTDOM AGITAPRECEITOS/2025 - EUR 951.825 - FIXED RATE NOTES DUE 2034 - TO BE FUNGIBLE WITH PTGPTAOM0028 Bonds RI MDC PORTUGAL 3, UNIPESSOAL, LDA 1.00 EUR 0.000000000000 951,825 FAMT
PTMVHAOM0000 MVHAOM AGUAS PROFUNDAS/2020 - EUR 610 M.-FLOAT. RATE SECURED NOTES-DEC.2035 Bonds MOVHERA - HIDROELÉTRICAS DO NORTE, S.A. 90,981.50 EUR 0.909815000000 610,000,000 FAMT