Tuesday, 25 Oct 2016 01:02

Schumann 7% 31/07/2023 Rule 144A


TypeBond, Fixed rate
ISIN codeXS1454980662
Trading codeXS1454980662
Final maturity31/07/2023
Amount issued4 630 000 EUR
Redemption price-
Issuer(s)SCHUMANN S.P.A.
 Via del Vecchio Politenico 9 I-20121 MILANO (MI)
Close on 24/10/2016101.978 i %
Month Low99.631
Month High102.349
Year Low99.226
Year High103.521

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