Canonical ID: isin-USP90603AP97 · Entity type: Security (reference)
| Property | Value | Lang | Source dataset | Source ID | First seen | ||
|---|---|---|---|---|---|---|---|
Security:alias | REP OF PANAMA/GDR REPSTG GDN REG | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:classification | DSMVMD | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:country | us | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:createdAt | 2021-08-27 | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:currency | USD | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:id | 50d01ae4473d770ac743843e5c8f292eebecec2d | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:isin | USP90603AP97 | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:issuer | lei-549300SHS4T08CL0LP14 | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:name | CITIBANK, N.A. Global Depositary Notes (US Dollar denominated) representing 3.362% Treasury Bonds (Bonos del Tesoro) due 2031 issued by the Republic of Panama | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:name | PANAMA 3.362 6/30/31 (URegS) PANAMA | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:name | PANAMA 3.362 06/30/31 BOND | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:name | PANAMA 3.362 06/30/31 | ext_eu_esma_firds | isin-USP90603AP97 | ||||
Security:name | PAGV 3.362 06/30/31 | ext_eu_esma_firds | isin-USP90603AP97 | ||||