Canonical ID: isin-XS2771494940 · Entity type: Security (reference)
| Property | Value | Lang | Source dataset | Source ID | First seen | ||
|---|---|---|---|---|---|---|---|
Security:alias | REN FINANCE BV/3.5 MTN 20320227 SR | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:classification | DTFNFB | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:createdAt | 2024-02-27 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:currency | EUR | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:id | c668f21dd7a8acbd9fc23f4c82c47f709e40254a | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:isin | XS2771494940 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:issuer | lei-54930019D5P01WQQZF17 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | REN FINANCE B.V. Issue of EUR 300,000,000 3.500 per cent. Green Bonds due 27 February 2032 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | RENE 3.500 02/27/32 '31 MTN | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | REN FIN. 24/32 MTN | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | RENE 3.5 27/02/32 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | RENEPL 3 1/2 02/27/32 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | REN Finance B.V. EO-Medium-Term Nts 2024(24/32) | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | Ren Finance 32 | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | RENEPL 3.500 2/27/32 c31 (URegS) REN FINANCE | ext_gb_fca_firds | isin-XS2771494940 | ||||
Security:name | RENEPL 3 1/2 02/27/32 BOND | ext_gb_fca_firds | isin-XS2771494940 | ||||