Nasdaq

Security detailed information

Security name EUR 7 CREDITSTAR INTERNATIONAL VÕLAKIRI 16-2022
ISIN EE3300111004
Security type Debt instruments
FISN CREDITS INTERNA/BD 004 20221117
Nominal 100,000
Currency EUR
No. of securities 100
Volume of issue 10,000,000
Security name (in English) EUR 7 CREDITSTAR INTERNATIONAL BOND16-2022
Issuer Creditstar International OÜ
Residency Estonia
Registration date Nov 17, 2016
Interest rate 7.00 %
Maturity Nov 17, 2022
Securities may be pledged yes
Pre-emptive right no
Payment agent Creditstar International OÜ
Initial price 100,000
Interest type A011
Payment interval monthly
First interest payment Dec 17, 2016
CFI DBFUGR
Bearer security flag no
T2S flag yes
Maintaining entity NCSD
Minimum settlement unit 0
Settlement unit multiple 100,000
Links Settlement statistics
Corporate actions