All security types

FT2025 FONDO DE TITULIZACION
ISINFISNNumber of securities / Issue amountIssue dateMaturity dateNominal / MTV / PriceCurrencyInterest rateCFI 2015
ES0305758007 FT2025/VAR BTA 20610830 GTIA 461,051,731.5913/06/202530/08/2061461,051,731.59EUR DGVSBB

For more information, contact to the Spanish National Numbering Agency