Облигации: Factor banka, 5.75% 31may2017, EUR (FIGI BBG0000BZMP0, SI0022102683)
Subordinated Unsecured
Subordinated Unsecured
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actor banka d.d. provides banking and financial services to corporate customers and individuals in the Republic of Slovenia. It offers short-term loans for financing current assets; long-term loans for financing fixed assets; loans secured by the ...
actor banka d.d. provides banking and financial services to corporate customers and individuals in the Republic of Slovenia. It offers short-term loans for financing current assets; long-term loans for financing fixed assets; loans secured by the pledge of financial instruments; loans for financing the export of goods and services; project financing services; transaction account overdraft facility; blanket overdraft facility for financing operations, issuing guarantees, and letters of credit; housing loans and loans on the collateral of financial instruments; and factoring and bill discounting services. The company also provides payment transaction, foreign exchange transaction, treasury banking, and online banking services, as well as provides letters of guarantee, letters of credit, current accounts, and deposit products. In addition, it offers investment banking services, such as portfolio management, brokerage, takeovers and mergers; sells mutual funds; transfers and pledges financial instruments; and issues financial instruments, as well as engages in stock exchange trading activities. The company was founded in 1993 and is headquartered in Ljubljana, the Republic of Slovenia.
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Откройте глобальную базу данных
1 000 000
облигаций
80 234
акций
175 659
ETF & Funds
80 000
индексов
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Облигации Factor banka серии (ISIN SI0022102683, FIGI BBG0000BZMP0) — Factor banka, 5.75% 31may2017, EUR выпуск компании «Factor banka d.d.» объёмом 5 000 000,00 EUR в обращении на внебиржевом рынке. Выпуск имеет номинал 10 000 EUR EUR и торгуется как самостоятельный долговой инструмент.
Дата размещения — *** эмиссия прошла на внебиржевом рынке в формате *** через ***. Погашение запланировано на *** и предусмотрено условиями выпуска без амортизации номинала по графику.
Ставка купона облигации Factor banka установлена на уровне ***% годовых и фиксируется по графику купонных периодов.
Купоны выплачиваются ***, дата ближайшей выплаты — . Всего по выпуску предусмотрено 11 купонных периодов, из них выплачено — 0, осталось — 11.
Эмитент — Factor banka d.d./Словения/Корпоративный, рейтинги по выпуску не присвоены.