SIRTORI GEST/TV 20211231 SR 2021, IT0004815111 ISIN Database
SIRTORI GEST/TV 20211231 SR 2021 - OBBLIGAZIONI CON RIMBORSO ANTICIPATO
| ISIN IT0004815111 | SIRTORI GEST/TV 20211231 SR 2021 |
|---|---|
| Cfi code | DBVUGB |
| Codvecom | 400L |
| Coupon frequency | ANNUALE |
| Currency | 242 |
| Currency description | EURO UNIONE ECONOMICA E MONETARIA |
| Date fi | 2099-12-31 |
| Date in | 2012-04-23 |
| First coupon payment date | 2013-01-01 |
| First coupon rate | |
| Form | PORTATORE |
| Interest | 1 |
| Interest rate | |
| Issue date | 2012-04-04 |
| Issuer | 02707820136 |
| Issuer country | ITALIA |
| Issuer country code | 86 |
| Issuer long name | SIRTORI GEST. S.P.A. |
| Maturity date | 2021-12-31 |
| Nominal | None |
| Nominal | 500 |
| Period | A |
| Repayment date | |
| Sector | OBBLIGAZIONI CON RIMBORSO ANTICIPATO |
| Share tip | B |
| Type of interest | TASSO VARIABILE |
ISIN database - Stocks, Bonds, Equities, Debt Instruments, Options, Futures and Entitlements
Similar type ISIN
| Isin | Name, Description | Nominal |
|---|---|---|
| IT0000240751 | SIRT AOR SIRT AOR - AZIONI ORDINARIE | |
| IT0003496830 | SIRT/AOR SIRT/AOR - AZIONI ORDINARIE | |
| IT0003768261 | SIRTI/AOR SVN SIRTI/AOR SVN - AZIONI ORDINARIE | |
| IT0004737117 | SIRTI/AZ SPECIALI SVN CAT. A SIRTI/AZ SPECIALI SVN CAT. A - AZIONI SPECIALI | |
| IT0004737125 | SIRTI/AZ SPECIALI SVN CAT. B SIRTI/AZ SPECIALI SVN CAT. B - AZIONI SPECIALI | |
| IT0004706021 | SIRTI/C WR AZIONI SIRTI/C WR AZIONI - WARRANTS SU TITOLI DI CAPITALE | |
| IT0004703143 | SIRTI/TV CV 20160630 SIRTI/TV CV 20160630 - OBBLIGAZIONI CONVERTIBILI | |
| IT0004815111 | SIRTORI GEST/TV 20211231 SR 2021 SIRTORI GEST/TV 20211231 SR 2021 - OBBLIGAZIONI CON RIMBORSO ANTICIPATO |
Time: June 9, 2026, 11:11 p.m.
| London time: | June 9, 2026, 11:11 p.m. |
| NY time: | June 9, 2026, 6:11 p.m. |
| Tokyo time: | June 10, 2026, 7:11 a.m. |






