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
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