SCHEDA ANAGRAFICA DEL TITOLO
ISIN
XS0474526273
Type
Obbligazioni Finanziarie
Issuer
BNP PARIBAS
Des
BNPTV%GN12
Maturity
21/06/2012 00:00:00
Crncy
EUR
Rating
AA-
IssueSize
1000000000
CpnTyp
FLOATING
CpnFrq
4
Sector
Banks
MinPiece
1000
Spread
0,25%
RedemptVal
100