Affichage 1 - 19 sur 19 résultat(s)
Symbole Nom ISIN Marché Marché Type
BCMGE CEMG FRN11NOV24 PTCMGEOE0034 Euronext Lisbon XLIS Obligations
BCMGF CEMG FRN16DEC26 PTCMGFOE0033 Euronext Lisbon XLIS Obligations
BCGDE CGD FRN 12JUN2030 PTCGDEOM0001 Euronext Lisbon XLIS Obligations
BCGDL CGD FRN 19DEC28 PTCGDLOM0028 Euronext Lisbon XLIS Obligations
BCGHO CGD FRN 30APR26 PTCGHOOE0013 Euronext Lisbon XLIS Obligations
BCOLP COLEP 1.5% 10OCT26 PTCOPCOM0009 Euronext Access Lisbon ENXL Obligations
BCOPB COLEP 2.35% 8AUG24 PTCOPBOM0000 Euronext Access Lisbon ENXL Obligations
BCNSA ESTADO 2,75%PL PTCON3OE0006 Euronext Lisbon XLIS Obligations
BCNSB ESTADO 3%PL PTCON2OE0007 Euronext Lisbon XLIS Obligations
BCNSC ESTADO 3,5%PL PTCON1OE0008 Euronext Lisbon XLIS Obligations
BCNSD ESTADO 4%PL PTCON4OE0005 Euronext Lisbon XLIS Obligations
Issue of €250,000,000 Floating Rate Covered Bonds due 22 May 2024 PTCMGSOM0020 Euronext Dublin XMSM Obligations
Issue of €500,000,000 0.125 per cent. Covered Bonds due 14 November 2024 PTCMGAOM0038 Euronext Dublin XMSM Obligations
BCPEC REFER4,047%16NOV26 PTCPECOM0001 Euronext Lisbon XLIS Obligations
BCPEJ REFER4,675%16OCT24 PTCPEJOM0004 Euronext Lisbon XLIS Obligations
USD 1301535000 IE00BZ0PDY44 Global Exchange Market XEYE Obligations
€200,000,000 8.375 per cent. Fixed/Floating Rate Callable Senior Preferred Notes due 2027 PTCCCMOM0006 Euronext Dublin XMSM Obligations
€300,000,000 2.50 per cent. Fixed/Floating Rate Callable Senior Preferred Notes due 2026 PTCCCAOM0000 Euronext Dublin XMSM Obligations
€50,000,000 8.375 per cent. Fixed/Floating Rate Callable Senior Preferred Notes due 2027 PTCCCNOM0005 Euronext Dublin XMSM Obligations