MEDIOBANCA FTSEMIB 22.11.2019

ISIN: IT0004968266

Product Type: Strutturati

trend

Maturity
Date

22/11/2019

Capital
Protection

100%

Currency

EUR

Bid/Ask

/

Issue
Date

22/11/2013

Product features

Issuer: Mediobanca
Issuer Rating: FITCH RATINGS BBB
STANDARD & POOR'S BBB
MOODY'S Baa1
Issue Date: 22/11/2013
Maturity Date: 22/11/2019
Minimum Quantity: 1,000
Coupon: Gross fixed cuopons equal to 3,00 per cent per annum for year 1 and year 2, payable on 22 November 2014 and 22 November 2015; then variable coupon linked to the performance of FTSEMIB index, payable on 22 November of each year starting from and including 22 November 2016 up to and including 22 November 2019.
Price History
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Performance
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Last Price Update: