Bonds

PREMIAB1

Bond name PREMIA S.A. (Non Convertible)
Issuer PREMIA REAL ESTATE INVESTMENT COMPANY SOCIETE ANOMYME

Symbol PREMIAB1
Initial nominal value 1,000
ISIN GRC4971221B3
Current nominal value 1,000
Reuters code  
Listed securities number 100,000
Bloomberg code  
Current issued amount 100,000,000
Country of share register GR
Issue date Jan 25, 2022
MiFID status Regulated market
Expiration date Jan 25, 2027
Admission to trading Jan 26, 2022
Bond duration 5 years
Initial price of listing  
Issue currency  
Bond type NON CONVERTIBLE CORPORATE BONDS - REGULATED MARKET

Trading information


Financial information


Key statistics


PRESS RELEASES - INFORMATION


COMPANY ANNOUNCEMENTS


 
 
 
Search
Toolbox
Market

Composite index

Calendar

FinancialCalendarPortlet

Asset Publisher