Security type
Debt instruments
FISN
PIMSPV/BD 799 20251005
Currency
EUR
Volume of issue
3,615,796.5
Security name (in English)
EUR 12.00 PIMSPV BOND 22-2025
Registration date
Oct 10, 2022
Interest rate
12 %
Maturity
Oct 5, 2025
Securities may be pledged
yes
Pre-emptive right
no
Interest type
A004
Payment interval
quarterly
First interest payment
Jan 5, 2023
CFI
DBFSFR
Bearer security flag
no
T2S instrument
yes
Maintaining entity
NCSD
Minimum settlement unit
1,036.04
Settlement unit multiple
1,036.04
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