您使用提示模式 关闭
为了方块之间的快速移动

欧洲债券: Fincantieri S.p.a., 3.75% 19nov2018, EUR (XS0995042859)

下载
复制发行信息到剪贴板
复制发行信息到剪贴板
复制到剪贴板
数据已复制到剪贴板

状态
已偿还
总量
300.000.000 EUR
发行
***
到期 (选择权)
*** (-)
应计利息
风险所在国
意大利
实时利率
-
-
收益率/久期
-
两次点击计算!收益率, 久期等分析指标
两次点击计算!收益率, 久期等分析指标
计算器 计算器是什么?
  • 发行量
    300.000.000 EUR
  • 发行量
    300.000.000 EUR
  • 最小申购数量
    100.000 EUR
  • ISIN
    XS0995042859
  • Common Code
    099504285
  • CFI
    DYFXXB
  • FIGI
    BBG005K03Y07
  • 代码
    FCTIM 3.75 11/19/18

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
观察列表
Excel 附加组件

发行文件

募集说明书

请求认证
仅提供招股说明书下载 付费用户

交易时间表

选择证券交易所
选择证券交易所
跟多关于 Cbonds Estimation
债券交易停止, 该债已偿还
数据显示法可以选择 图形 | 表格
数据显示法可以选择 图形 | 表格
图形中可变: 报价, 期间, 发行比较
图形中可变: 报价, 期间, 发行比较
表格字段名称
找到
显示所有列
ADD-IN
Cbonds 加载项
API
债券数据 API
请求认证
需要 访问
*所选项下没有可用数据
OTC报价是指示性价格

证券交易所和场外交易市场

信息提供者所提供的报价仅供参考。

发行信息

简介
Fincantieri - Cantieri Navali Italiani S.p.A., along with its subsidiaries, designs, constructs, and sells naval vessels and ships. It offers cruise ships and large ferries, yachts, and offshore systems; marine systems and components for propulsion and ...
Fincantieri - Cantieri Navali Italiani S.p.A., along with its subsidiaries, designs, constructs, and sells naval vessels and ships. It offers cruise ships and large ferries, yachts, and offshore systems; marine systems and components for propulsion and power generation; Ro-Ro, merchant, and VLCC ships; patrol vessels, corvettes and light frigates, frigates and destroyers, aircraft carriers, monitoring systems, ship simulators, and ports support products; diesel engines for marine and industrial applications; and engines and magnetic generators for military purposes in the United States. The company also sells marine systems and components, such as fin stabilizers, bow and stern thrusters, controllable pitch propellers, industrial steam turbines, reduction and steering gears, and shaft lines to the North American market; and specializes in the newbuilding of commercial ships, passenger ship and offshore vessel repair services, and aluminum constructions for commercial and governmental customers, including the U.S. Navy and Coast Guard. In addition, it engages in research and technical consultancy in the naval and maritime field in Italy and internationally; and provides naval architecture and engineering services, including voyage, mechanical and electrical, hull and propulsion, and boiler turbine repair services, as well as repower and retrofit, floating dry and graving dock, outfitting, and mechanical unloading equipment fabrication and installation services. FINCANTIERI - Cantieri Navali Italiani S.p.A. was formerly known as Società Finanziaria Cantieri Navali - Fincantieri S.p.A. The company was founded in 1959 and is headquartered in Trieste, Italy with subsidiaries in Genoa and Bari, Italy; Chesapeake, Virginia; and De Pere, Wisconsin. It has operations in Italy; Ingleside, Texas; Manama, Bahrain; Nagasaki-ken, Japan; and Marinette, Sturgeon Bay, and Green Bay, Wisconsin. FINCANTIERI - Cantieri Navali Italiani S.p.A. operates as a subsidiary of Fintecna S.p.A.
发行量
  • 发行量
    300.000.000 EUR
  • 发行量
    300.000.000 EUR
票面价值
  • 最小申购数量
    100.000 EUR
  • 未偿还贷款本金
    *** EUR
  • 整数倍
    *** EUR
  • 票面价值
    1.000 EUR
名录
  • 名录
    ***

现金流参数

  • 基准利率
    ***
  • 票面利率
    ***
  • 计息基准
    ***
  • 起息日
    ***
  • 定期支付息票
    *** 年度
  • 支付货币
    ***
  • 到期日
    ***

现金流

国际债券的计算是基于最低交易手数进行的

提前赎回条款

***

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
观察列表
Excel 附加组件

发行

  • 配售方式
    公开认购
  • 流通范围
    公开
  • 发行
    ***
  • 初始发行价 (收益率)
    (***%)
  • 地区分类
    ***
  • 投资人类型
    ***
  • 替代目的
    The net proceeds of the issue of the Notes, estimated to amount to c297,126,000 after deduction of the commissions and certain other expenses incurred in connection with the issue of the Notes, will be applied by the Issuer in connection with the financing of the acquisition of a majority stake in Vard Holdings (which took place on 23 January 2013) and for its general corporate purposes.
发行参与者
  • 组织机构
    ***, ***, ***, ***, ***, ***, ***, ***
  • 存管机构
    ***, ***
  • 付款代理人
    ***
  • 受托机构
    ***

转换和共享

  • 转换条款
    ***

附加信息

代码

  • ISIN
    XS0995042859
  • CUSIP
    ***
  • CUSIP 144A
    ***
  • 通用代码
    099504285
  • CFI
    DYFXXB
  • FIGI
    BBG005K03Y07
  • WKN
    A1HTLJ
  • 代码
    FCTIM 3.75 11/19/18
  • 证券按俄罗斯中央银行的分类类型
    ***

债券分类

  • 息票债券
  • 排名: Undefined
  • Bearer
  • 摊提
  • Callable
  • CDO
  • 可交换的
  • 双货币债券
  • 浮动利率
  • 为合格投资者 (俄罗斯)
  • 外债
  • 绿色债券
  • 担保的
  • 通货膨胀相关本金
  • 发行超主权债券
  • 通货膨胀挂钩息票
  • 抵押
  • 永续债券
  • 实物支付债券
  • 非流通证券
  • 赎回关联与
  • 重组
  • 零售债券
  • 担保债券
  • 证券
  • 结构性产品
  • 商业债券
  • 次级
  • 伊斯兰债券
  • 追溯

重组

***

你必须 注册 才能获得访问权