HZL HB VAR/37
Period:
-
Change in selected period :
Source:
Turnover in CZK
Intraday data
Date & Time
Last
Change
0,00 %
ISIN
CZ0002001266
MPQ
Post Trade
Basic Information
Issuer | ČSOB Hypoteční banka, a.s. |
Market | Regulated Market |
Type Of Security | Bonds |
Issue Volume | 2,000,000,000 |
Nominal Value | 10,000,000 |
Nominal Currency | CZK |
Bond Type | Variable |
Interest Rate | 8,69 % |
Number of Coupons Yearly | 1 |
Date Of Coupon | 25. 10. 2025 |
Trading
Trading Procedure | Post Trade |
Trading Unit | Percent |
Trading Hours | 08:50 - 16:25 |
Trading Currency | CZK |
overviewIssueDate | 25. 10. 2007 |
First Day of Trading | 25. 10. 2007 |
Bond maturity | 25. 10. 2037 |
Time to Maturity | 12 years from now |
- Calculated by Vienna Stock Exchange (Wiener Börse AG)
Market Depth
Time Axis
Bid/Ask | -/- |
Bid Size/Ask Size | -/- |
Last Volume | 0 |
Total Turnover in Pcs | 0 pcs |
Total Turnover in CZK | CZK0.00 |
Number of Trades | 0 |
Year High | CZK115.33 |
Year Low | CZK115.33 |
Company
ČSOB Hypoteční banka, a.s.
Address
Radlická 333/150, 150 00, Praha 5
Website
Company Profile
Banking facilities