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AUT COM.MADRID- VBLE 03/2037
 
ISIN Type of Asset Issuer Issue Date Maturity Date Nominal Value Currency Guaranteed
ES0000101826 DEUDA C.C.A.A.  COM.MADRID  13/03/2017  13/03/2037  1,000.00  EUR  No 
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Payment Bank  
 
Managers  
 
Last Price     Last Price Date  
 
SETTLEMENT   VOLUME
Coupon payment periodicity Trimestral    Total listed 50,000,000
Variable rate reference +E Euribor    Outstanding Volume 50,000,000
Rate Term   Final redemption 13/03/2037 
Margin/Currency over reference 1.55    Redemption type Fija
Put/Call No / No    Coupon mode Variable
Next Put/Call     Coupon rate (current) 1.062000%
Trade type ExCupón  
Price or Yield Precio  
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