Issue and public offering prospectuses
GC FTGENCAT CAIXA TARRAGONA 1, FONDO DE TITULIZACION DE ACTIVOS
Issue and public offering prospectuses
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
26/06/2008 |
9108
| |
| TOTAL FTA | |
|
Ba
|
26/06/2008 |
9108
|
|
| SERIE AS | 104,300,000 |
ES0341082008
|
Ba
|
26/06/2008 |
9108
|
|
| SERIE AG | 93,200,000 |
ES0341082016
|
Ba
|
26/06/2008 |
9108
|
|
| SERIE B | 25,700,000 |
ES0341082024
|
Ba
|
26/06/2008 |
9108
|
|
| SERIE C | 16,800,000 |
ES0341082032
|
Ba
|
26/06/2008 |
9108
|
|
| SERIE D | 13,800,000 |
ES0341082040
|
Ba
|
El importe incluye tramos nacionales e internacionales