Details

Back to List

Details

Issuer Name
BBVA Global Markets B.V.
Long Name
Programme 17 July 2023
Stock Name
Programme 17 July 2023
Securities Identifiers
ISIN
FISN
CFI
Total Nominal Value
2000000000
Currency
EUR
Reference Price Per Unit
Intended Trading Model
Trading Type
Representation of the Securities
Securities Depository
Confirmation First Admission to Securities
Maturity Date
22 Oct 2039
Issue Date
17 Jul 2023
Download
Tenor
20yrs
Listing Date
16 Oct 2022
Note Type
Details
Reason Reject