ISIN code information
All security types
FT2025 FONDO DE TITULIZACION
ISIN | FISN | Number of securities / Issue amount | Issue date | Maturity date | Nominal / MTV / Price | Currency | Interest rate | CFI 2015 |
ES0305758007
| FT2025/VAR BTA 20610830 GTIA | 461,051,731.59 | 13/06/2025 | 30/08/2061 | 461,051,731.59 | EUR | | DGVSBB |
For more information, contact to the
Spanish National Numbering Agency