Trading Issuers
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Issuer | ISIN Code | OASIS Code | Market | MIFID | Market Segment | Product | Product Name | |
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GREEK ORGANISATION OF FOOTBALL PROGNOSTICS S.A. | GRC419120AD7 | OPAPB2 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | O.P.A.P. S.A. (Non Convertible) |
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HELLENIC EXCHANGES - ATHENS STOCK EXCHANGE S.A. | GRS395363005 | EXAE | SECURITIES MARKET | Regulated market | MAIN MARKET | Stock | HELLENIC EXCHANGES-ATHENS STOCK EXCHANGE SA (CR) |
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HELLENIC REPUBLIC | GR0133008210 | G090312H1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240230-18Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0138007738 | G090312M1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240235-23Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0133006198 | G090312F1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240228-16Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0138008744 | G090312N1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240236-24Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0138009759 | G090312O1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240237-25Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0133007204 | G090312G1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240229-17Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0133009226 | G090312I1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240231-19Y-2.000-1.00 |
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HELLENIC REPUBLIC | GR0138010765 | G090312P1 | SECURITIES MARKET | Regulated market | FIXED INCOME SECURITIES | Bond | GGB-FXD-240238-26Y-2.000-1.00 |
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