Obbligazione UniCredit 1.25% ( XS2017471553 ) in EUR

Emittente UniCredit
Prezzo di mercato 99.76 EUR  ▼ 
Paese  Italia
Codice isin  XS2017471553 ( in EUR )
Tasso d'interesse 1.25% per anno ( pagato 1 volta l'anno)
Scadenza 25/06/2025 - Obbligazione č scaduto



Prospetto opuscolo dell'obbligazione UniCredit XS2017471553 in EUR 1.25%, scaduta


Importo minimo /
Importo totale /
Descrizione dettagliata UniCredit č una banca commerciale italiana operante a livello internazionale, con attivitā principali nel settore bancario retail, corporate e investment banking.

The Obbligazione issued by UniCredit ( Italy ) , in EUR, with the ISIN code XS2017471553, pays a coupon of 1.25% per year.
The coupons are paid 1 time per year and the Obbligazione maturity is 25/06/2025
DateClean price
07/08/2024100.00%
25/07/202499.97%
09/07/2024100.00%
08/07/202499.97%
18/04/202498.42%
27/08/202399.76%
03/08/202399.76%
10/07/202399.76%
16/06/202399.76%
23/05/202399.76%
29/04/202399.76%
05/04/202399.76%
12/03/202399.76%
17/02/202399.76%
25/01/202399.76%
02/01/202399.76%
10/12/202299.76%
17/11/202299.76%
25/10/202299.76%
04/10/202299.76%
13/09/202299.76%
23/08/202299.76%
02/08/202299.76%
12/07/202299.76%
21/06/202299.76%
31/05/202299.76%
10/05/202299.76%
19/04/202299.76%
29/03/202299.76%
08/03/202299.76%
15/02/202299.76%
25/01/202299.76%
04/01/202299.76%
14/12/202199.76%
23/11/202199.76%
02/11/202199.76%
12/10/202199.76%
21/09/202199.76%
31/08/202199.76%
10/08/202199.76%
20/07/202199.76%
29/06/202199.76%
08/06/202199.76%
18/05/202199.76%
27/04/202199.76%
06/04/202199.76%
19/03/202199.76%
04/03/202199.76%
16/02/202199.76%
02/02/202199.76%
20/01/202199.76%
08/01/202199.76%