Statements: RENEPL 1 3/4 01/18/28 BOND

Canonical ID: isin-XS1753814737 · Entity type: Security (reference)

PropertyValueLangSource datasetSource IDFirst seen
Security:aliasREN FINANCE BV/1.75 MTN 20280118ext_gb_fca_firdsisin-XS1753814737
Security:classificationDTFUFBext_gb_fca_firdsisin-XS1753814737
Security:createdAt2018-01-18ext_gb_fca_firdsisin-XS1753814737
Security:currencyEURext_gb_fca_firdsisin-XS1753814737
Security:idf455995a5029b8ef67e71bf989a515a404a7e540ext_gb_fca_firdsisin-XS1753814737
Security:isinXS1753814737ext_gb_fca_firdsisin-XS1753814737
Security:issuerlei-54930019D5P01WQQZF17ext_gb_fca_firdsisin-XS1753814737
Security:nameREN FIN. 18/28 MTNext_gb_fca_firdsisin-XS1753814737
Security:nameRENE 1.750 01/18/28 '27 MTNext_gb_fca_firdsisin-XS1753814737
Security:nameRENEPL 1 3/4 01/18/28 BONDext_gb_fca_firdsisin-XS1753814737
Security:nameREN FINANCE B.V. Issue of EUR 300 000 000 1.750 per cent. Senior Notes due 18 January 2028ext_gb_fca_firdsisin-XS1753814737
Security:nameREN Finance 28ext_gb_fca_firdsisin-XS1753814737
Security:nameRENEPL 1 3/4 01/18/28ext_gb_fca_firdsisin-XS1753814737
Security:nameRENE 1.75 18/01/28ext_gb_fca_firdsisin-XS1753814737
Security:nameREN Finance B.V. EO-Medium-Term Nts 2018(18/28)ext_gb_fca_firdsisin-XS1753814737
Security:nameREN FINANCE B.V. Issue of EUR 300,000,000 1.750 per cent. Senior Notes due 18 January 2028ext_gb_fca_firdsisin-XS1753814737
Security:nameRENEPL 1.750 1/18/28 c27 (URegS) REN FINANCEext_gb_fca_firdsisin-XS1753814737
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