Search: "PTC"
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 |