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BTN SANT CAU 141-E 5,000 06/2032
 
ISIN Type of Asset Issuer Issue Date Maturity Date Nominal Value Currency Guaranteed
ES0305053045 TITULIZACIÓN DE ACTIVOS  SANT CAU 141  28/11/2014  20/06/2032  100,000.00  EUR  No 
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Payment Bank
  • BANCO SANTANDER, S.A.
  •  
    Managers
  • SANTANDER CONSUMER FINANCE, S.A.
  • SANTANDER GLOBAL BANKING & MARKETS
  • CREDIT AGRICOLE CIB, SUCURSAL EN ESPAÑA
  •  
    Last Price     Last Price Date  
     
    SETTLEMENT   VOLUME
    Coupon payment periodicity Trimestral    Total listed 38,000,000
    Variable rate reference     Outstanding Volume 38,000,000
    Rate Term   Final redemption 20/06/2032 
    Margin/Currency over reference   Redemption type Red. Nominal
    Put/Call No / No    Coupon mode Fijo
    Next Put/Call     Coupon rate (current) 11.000000%
    Trade type Cupón  
    Price or Yield Precio  
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