ISIN code information
All security types
GPM GESTION ACTIVA, FI
ISIN | FISN | Number of securities / Issue amount | Issue date | Maturity date | Nominal / MTV / Price | Currency | Interest rate | CFI 2015 |
ES0142630005
| GPM GTION ACT FI/PT RET ABS | | 29/04/2016 | | | EUR | | CIOGLU |
ES0142630013
| GPM GTION ACT FI/PT MIXTO EUR | | 29/04/2016 | | | EUR | | CIOGLU |
ES0142630021
| GPM GTION ACT FI/PT CIRENE CAP | | 29/04/2016 | | | EUR | | CIOGLU |
ES0142630039
| GPM GTION ACT FI/PT GRW CAP | | 29/04/2016 | | | EUR | | CIOGLU |
ES0142630047
| GPM GTION ACT FI/PT GTION GLB | | 29/04/2016 | | | EUR | | CIOGLU |
ES0142630054
| GPM GTION ACT FI/PT ALC | | 03/03/2017 | | | EUR | | CIOGLU |
ES0142630062
| GPM GTION ACT FI/PT QUANT EUR | | 29/10/2021 | | | EUR | | CIOGLU |
ES0142630070
| GPM GTION ACT FI/PT COYUNT | | 03/12/2021 | | | EUR | | CIOGLU |
ES0142630088
| GPM GTION ACT FI/PT TEND INTNAL | | 28/01/2022 | | | EUR | | CIOGLU |
ES0142630096
| GPM GTION ACT FI/PT ASIG TAC | | 25/03/2022 | | | EUR | | CIOGLU |
ES0142630104
| GPM GTION ACT F/PT OPTIM LUX | | 28/10/2022 | | | EUR | | CFOGIU |
For more information, contact to the
Spanish National Numbering Agency