Securities information as of: 26.04.2024 14:21
ISIN | SK4120009705 |
Short name of the security (FISN) | Tatrabanka,akc/1,25 20170519 bond |
Long name of the security | Hypotekarny zalozny list TB 77 Fix 19/5/2017 |
CFI | DBXSXB |
Nominal value | 10 000,00 |
Denomination currency | EUR |
Settlement in | Face amount |
Minimum amount* | 10 000,00 |
Minimum multiplier* | 10 000,00 |
Total number of securities for ISIN* | 40 000 000,00 |
Amount of securities on accounts* | 0,00 |
Amount of securities returned* | 40 000 000,00 |
Bearer/registered | Bearer |
Type of security | mortgage bond |
Form of security | Book-entry securities |
Negotiability of the issue | |
Public negotiability of securities issue | Security is not traded on the stock exchange |
Date of issuance | 19.12.2013 |
Registration date | 19.12.2013 |
Expiration/Maturity date | 19.05.2017 |
Deletion date | 06.07.2017 |
Issuer depository | CSDSSKBAXXX |
Issuer country | SK |
Suspension of right to dispose of the securities issue |
* The amount is displayed in the units listed in the item "Settlement in the unit" in the issue detail.
Issuer name | Tatra banka, a.s. |
Issuer Company Id | 00686930 |
Issuer´s seat | Hodžovo námestie 3, 81106 Bratislava 1, SK |
Issuer LEI | 3157002JBFAI478MD587 |