Еврооблигации: Veneto Banca, FRN 1dec2025, EUR (FIGI BBG00BH5X2J4, XS1327514045, WKN A18VEQ)
Переменная ставка, Subordinated Unsecured
Переменная ставка, Subordinated Unsecured
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As of November 2010, VENETO BANCA S.p.A. was acquired by Veneto Banca s.c.p.a. VENETO BANCA S.p.A. operates as a cooperative bank. The company collects savings and offers credit in the form of credit and debit cards, ...
As of November 2010, VENETO BANCA S.p.A. was acquired by Veneto Banca s.c.p.a. VENETO BANCA S.p.A. operates as a cooperative bank. The company collects savings and offers credit in the form of credit and debit cards, loans, insurance, and investment funds for families; and loans, company credit cards, corporate finance, and long-term vehicle hire services for small businesses, as well as agriculture finance, e-commerce, metal accounts, leasing, factoring, and brokerage services. The company also issues bonds and convertible bonds. VENETO BANCA S.p.A. was formerly known as VB Servizi Spa and changed its name in December, 2007. The company was founded in 2007 and is based in Montebelluna, Italy.
On 23 June 2017, the European Central Bank and the Single Resolution Board determined Veneto Banca and sister bank BPVi were insolvent, but not yet fulfilled the criteria to put the bank in resolution by the board. The two banks would be wound up by Italian government under Italian laws, into good and bad banks instead. After Intesa Sanpaolo S.p.A expressed its interests in acquiring some of the good assets (the "good banks") of Veneto Banca and BPVi, a contract was signed on 26 June.
The company was absorbed by Intesa Sanpaolo S.p.A for total sum of 0.5 euros on 26 June, 2017
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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 Veneto Banca серии (ISIN XS1327514045, FIGI BBG00BH5X2J4) — Veneto Banca, FRN 1dec2025, EUR выпуск компании «Veneto Banca S.p.A» объёмом 200 000 000,00 EUR в обращении на Cbonds Estimation. Выпуск имеет номинал 100 000 EUR EUR и торгуется как самостоятельный долговой инструмент.
Дата размещения — эмиссия прошла на Cbonds Estimation в формате *** через ***. Погашение запланировано на *** и предусмотрено условиями выпуска без амортизации номинала по графику.
По выпуску Veneto Banca установлена плавающая ставка. Базовая ставка — ***, маржа на уровне — ***.
Купоны выплачиваются ***, дата ближайшей выплаты — . Всего по выпуску предусмотрено 40 купонных периодов, из них выплачено — 0, осталось — 40.
Эмитент — Veneto Banca S.p.A/Италия/Корпоративный, с рейтингом отS&P Global Ratings(28.06.2017),S&P Global Ratings(28.06.2017),Fitch Ratings(21.06.2016),DBRS Limited(30.06.2020)