All Data

N Orders Bid Size Bid Price Ask Price Ask Size Orders
1 2 450,000 98.92 99.39 450,000 2
2 1 125,000 98.83 99.60 125,000 1
3 101.00 15,000 1
4
5
15 Minutes Delayed Data  
Nome Obligaciones Fx 3% Jan33 Eur
Isin Code ES0000012P74
Negotiation currency EUR
Settlement currency EUR
Market MOT
Tipology Foreign Public Debt
Market Status Continuous
Last Trade Price 99.40
%Chng +0.26
Net Chng +0.26
Date - Time Last Trade 26/04/17 - 9:29:25 AM
Last Volume 10,000
Total Quantity 10,000
Number Trades 1
Turnover 9,940

Day High 99.40
Year High 101.95
Year High Date 26/01/16
Day Low 99.40
Year Low 98.60
Year Low Date 26/04/13
Official Close 99.42029
Pre-Opening 99.40
Reference Close 99.14
Official Close Date 26/04/16
Expiry Date 33/01/31
Lot Size 1,000
Periodic Coupon Rate
Annual Coupon Rate 3.00
Accrual Date 25/10/07
Bond Type Fixed Rate
Legenda

Quotes, Book, Characteristics and Regulations for the Euro Obbligazione Obligaciones Fx 3% Jan33 Eur


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