AXIS CAPITAL Zrt. Törzsrészvény, HU0000092788 ISIN Databáze

Axis Capital Zrt. "v.a."

 ISIN HU0000092788 AXIS CAPITAL Zrt. Törzsrészvény
 Bet   no
 Class of share  
 Date of issue (mm-dd-yyyy)   04.23.2008
 Denomination   HUF
 Expiration (mm-dd-yyyy)  
 Issuer based   Budapest
 Issuer full name   Axis Capital Tőkealapkezelő Zártkörűen Működő Részvénytársaság "végelszámolás alatt"
 Issuer id number   14265556.0000
 Issuer short name   Axis Capital Zrt. "v.a."
 Nominal   10000.0000
 Share kind   Ordinary share
 Status   cancelled
 Stock form   Dematerialised
 Stock full name   AXIS CAPITAL Zrt. Törzsrészvény
 Stock kind   Share
 Total nominal value   10000000.0000
 Type   Registered share

ISIN database - Stocks, Bonds, Equities, Debt Instruments, Options, Futures and Entitlements
 

Podobný typ ISIN


ISIN Jméno, Popis nominální
 INE238A01026 AXIS BANK LTD - EQTY
AXIS BANK LIMITED - EQUITY SHARES
10.0000 
 INE238A08336 AXIS BANK9.30 200322
AXIS BANK LTD-9.30% UNSEC RTD RED SUBORDINATED LOWER TIER II NCD SERIES 20- PP -RD DT 20.03.2022
1 000 000.0000 
 INE238A08328 AXIS BANK9.73011221
AXIS BANK LTD-9.73% UNSEC RED SUBORDINATED LOWER TIER II NCD SERIES 19- PP -RD DT 01.12.2021
1 000 000.0000 
 INF846K01CU0 AXIS BDDP DDIVRINV
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN DAILY DIVIDEND REINVESTMENT
1 000.0000 
 INF846K01CR6 AXIS BDDP GROWTH
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN GROWTH
1 000.0000 
 INF846K01CT2 AXIS BDDP MDIVPAY
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN MONTHLY DIVIDEND PAYOUT
1 000.0000 
 INF846K01CS4 AXIS BDDP MDIVRINV
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN MONTHLY DIVIDEND REINVESTMENT
1 000.0000 
 INF846K01CV8 AXIS BDDP WDIVPAY
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN WEEKLY DIVIDEND PAYOUT
1 000.0000 
 INF846K01CW6 AXIS BDDP WDIVRINV
AXIS AMC LTD#AXIS MUTUAL FUND-AXIS BANKING DEBT FUND DIRECT PLAN WEEKLY DIVIDEND REINVESTMENT
1 000.0000 
 INE238A08252 AXIS BK 10.05 PERPET
AXIS BANK LIMITED-10.05% UNSEC RED NON CUM NCD TIER I HYBRID CAPITAL PERPETUAL - RED DT 30.09.2099
1 000 000.0000 
 INE238A08286 AXIS BK 10.10 300317
AXIS BANK LIMITED-10.10% UNSEC RED SUB NCD UPPER TIER II SR XXV- RED DT 30.03.2017
1 000 000.0000 
 INE238A08294 AXIS BK 11.75 071118
AXIS BANK LTD - 11.75% UNSEC RED NCD LOWER TIER II SUB SR-16 PP - RED DT 07.11.2018
1 000 000.0000 
 INE238A08161 AXIS BK 6.50 151013
AXIS BANK LIMITED-6.50% UNSEC NCD-SERIES 8-OPTION III-RED DT 15.10.2013
1 000 000.0000 
 INE238A08138 AXIS BK 7.00 260413
AXIS BANK LIMITED-7.00% UNSEC NCD-OPTION III RED DT 26.04.2013
500 000.0000 
 INE238A08203 AXIS BK 8.32 220613
AXIS BANK LIMITED - 8.32% UNSEC RED SUBORDINATED NCD SR 11 OPTION IA - RED DT 22.06.2013
1 000 000.0000 
 INE238A08195 AXIS BK 8.50 220613
AXIS BANK LIMITED - 8.50% UNSEC RED SUBORDINATED NCD SR 11 OPTION I - RED DT 22.06.2013
1 000 000.0000 
 INE238A08229 AXIS BK 8.56 220316
AXIS BANK LIMITED - 8.56% UNSEC RED SUBORDINATED NCD SR 11 OPTION IIA - RED DT 22.03.2016
1 000 000.0000 
 INE238A08211 AXIS BK 8.75 220316
AXIS BANK LIMITED - 8.75% UNSEC RED SUBORDINATED NCD SR 11 OPTION II - RED DT 22.03.2016
1 000 000.0000 
 INE238A08237 AXIS BK 8.95 280913
AXIS BANK LIMITED - 8.95% UNSEC RED NCD SR 11 TRANCHE II OPTION I - RED DT 28.09.2013
1 000 000.0000 
 INE238A08245 AXIS BK 9.10 280616
AXIS BANK LIMITED - 9.10% UNSEC RED NCD SR 11 TRANCHE II OPTION I - RED DT 28.06.2016
1 000 000.0000 

Čas: 25. prosince 2024 15:00:45
Londýn čas: 25. prosince 2024 14:00:45
New York čas: 25. prosince 2024 9:00:45
Tokio čas: 25. prosince 2024 23:00:45


 
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