Dienstag, 9. Juni 2015

bei den 30 Mio Tranche III gibts das Geld erst später nach Abklärung der Nachrangpobleme Rajcic....

General Information
Security Name :EUR 6,00 DEIKON GMBH 06-2016
Common Code :000027438784
ISIN Code :DE000A0KAHL9
Nominal Currency (ISO) :EUR - EURO
Issuer Name :DEIKON GMBH (FORMERLY KNOWN AS BOETZELEN REAL ESTATE AG)
Issuer Country :GERMANY
Security Physical Form :GLOBAL
Instrument Category :DEBT
Instrument Group :BOND
SWIFT Instr. Quantifier (Field 36B) :FAMT
Total Volume Issued :30,000,000
Instrument Creation Date :02-Nov-2006
Actual Closing Date :16-Nov-2006
Closing Date :16-Nov-2006
Distribution Date :16-Nov-2006
Maturity Date :16-Nov-2016
Back Value Flag :4
Back Valuation Type :BV if Settled on Closing Date or Closing Date + 1
CFI :DBVUFB
Process Purpose :SETTLANDCUST
Legal Form :BEARER
CBL Settlement Status :Eligible for settlement
Income Details
Frequency :Annual
 Current EventPrevious Event
Interest Rate :66
Pool Factor :11
Payment Currency :EUREUR
Payment Date :16-Nov-201516-Nov-2014
Value Date :16-Nov-201517-Nov-2014
Record Date :13-Nov-201514-Nov-2014
Start Date :16-Nov-201416-Nov-2013
End Date :16-Nov-201516-Nov-2014
Interest Rate Calculation Method :ACT/ISMAACT/ISMA
Number of Days :365365
Tax Rate :00
Gross Income Amount :6060
Tax Details
Subject to Withholding Tax :No
Subject to FATCA :No
Other Information
Lead Manager :LEAD MANAGER UNKNOWN
Depository/CSP :43 - CLEARSTREAM BKG DE
Safekeeper/CSK :43 - CLEARSTREAM BKG DE
CFF Qualified :No
Market Category :DOMESTIC
Multiple Depository Flag :SINGLE LISTED
Bridge Eligible Flag :Yes
Minimum Settlement Amount :1,000
Multiple Settlement Amount :1,000
ISMAG Adherence :NONE
Internal Instruction Account Flag :NORESTRICTION
External Instruction Account Flag :NORESTRICTION

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