ISIN | XS0301329479 |
Cusip | |
WKN | A0N039 |
Symbol/Ticker | |
Security Type | Euro Bond |
Issue Date | 24/05/2007 |
Issue Volume | 175,000,000 |
Issue Currency | US |
Denominations | 100,000 |
Maturity Date | 24/11/2014 |
Fixed/Float Rate | |
Interest Rare | |
Country | Serbia |
Market Segment | Open Market |
Subordinated | n/a |
Ratings Moody's | n/a |
Ratings S & P | n/a |
Ratings Finch | n/a |
Contact Number | |
Contact Web |