All Data

N Orders Bid Size Bid Price Ask Price Ask Size Orders
1 1 78,000 95.95 96.43 60,000 1
2 1 500,000 93.41 97.22 500,000 1
3 1 4,000 93.40
4
5
15 Minutes Delayed Data  
Nome Obligaciones Tf 2,55% Ot32 Eur
Isin Code ES0000012K61
Negotiation currency EUR
Settlement currency EUR
Market MOT
Tipology Foreign Public Debt
Market Status Inaccessible
Last Trade Price 96.40
%Chng -0.47
Net Chng -0.46
Date - Time Last Trade 26/05/15 - 1:37:46 PM
Last Volume 13,000
Total Quantity 142,000
Number Trades 5
Turnover 136,907

Day High 96.49
Year High 99.44
Year High Date 26/03/02
Day Low 96.40
Year Low 95.54
Year Low Date 26/03/27
Official Close 96.71223
Pre-Opening 96.49
Reference Close 96.17
Official Close Date 26/05/14
Expiry Date 32/10/31
Lot Size 1,000
Periodic Coupon Rate
Annual Coupon Rate 2.55
Accrual Date 22/06/14
Bond Type Fixed Rate
Legenda

Quotes, Book, Characteristics and Regulations for the Euro Obbligazione Obligaciones Tf 2,55% Ot32 Eur


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