Securities Under Custody
Securities Under Custody
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ISIN Code | CVM Code | Issue | Type | Integration date | Issuer name | Nominal value | |
---|---|---|---|---|---|---|---|
PTBPIYOM0028 | BPIYOM | BANCO BPI/2018 - EUR 250M - FLOATING RATE COVERED BONDS DUE 26 SEPTEMBER 2025 - SERIES.20 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIBOM0033 | BPIBOM | BANCO BPI/2021-EMTN-EUR 700 M. FLOAT. RATE CALLABLE SENIOR NON-PREF. NOTES-OCT.2027-SER.1134 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPICOM0040 | BPICOM | BANCO BPI/2022-EMTN-EUR 425 M. FLOAT.RATE DATED SUBORD.NOTES-MARCH 2032-SER. 1135 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIMOM0022 | BPIMOM | BANCO BPI/2022-EUR 2.050.000.000 FLOATING RATE COVERED BONDS DUE 8 JUNE 2029-SER 24 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPILOM0023 | BPILOM | BANCO BPI/2022-EUR 450.000.000 FLOATING RATE PUBLIC SECTOR BONDS DUE 9 JUNE 2028-SER. 6 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPINOM0005 | BPINOM | BANCO BPI/2023-EUR 150.000.000 FLOATING RATE PUBLIC SECTOR COVERED BONDS DUE 18 DEC. 2029-SER. 7 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIDOM0031 | BPIDOM | BANCO BPI/2023-EUR 750 M. - 3.625 per cent FIXED RATE COVERED BONDS (PREMIUM) DUE JULY 2028- SER. 25 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIAOM0034 | BPIAOM | BANCO BPI/2024-EMTN-EUR 275 M. UNDATED DEEPLY SUBORDINATED NOTES - SER.1137 | Bonds | BANCO BPI, S.A. | 200,000.00 | EUR | |
PTBPIGOM0004 | BPIGOM | BANCO BPI/2024-EMTN-EUR 550M. FIXED RATE CALLABLE SENIOR NON-PREFERRED NOTES DUE DEC 2028 - SER.1138 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBBP7OM0030 | BBP7OM | BANCO BPI/2024-EMTN-EUR 700 M. FIXED RATE CALLABLE SENIOR NON-PREFERRED NOTES DUE MARCH 2030 - SER.1136 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIIOM0036 | BPIIOM | BANCO BPI/2024-EUR 1.800 M. FLOATING RATE COVERED BONDS DUE DEC. 2031- SER. 28 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIEOM0030 | BPIEOM | BANCO BPI/2024-EUR 300 M. -3,374 per cent FIXED RATE COVERED BONDS (PREMIUM) DUE JUN. 2032- SER. 27 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBPIZOM0035 | BPIZOM | BANCO BPI/2024-EUR 500 M. - 3,25 per cent FIXED RATE COVERED BONDS (PREMIUM) DUE MAR. 2030- SER. 26 | Bonds | BANCO BPI, S.A. | 100,000.00 | EUR | |
PTBCP0AM0015 | BCP AM | BANCO COMERCIAL PORTUGUES | Shares | BANCO COMERCIAL PORTUGUÊS, S.A. | 0.20 | EUR | |
PTCRD0AM0009 | CRD AM | BANCO CREDIBOM, SA | Shares | BANCO CREDIBOM, S.A. | 5.00 | EUR | |
PTBOTAOM0008 | BOTAOM | BANCO CTT/2024 -MREL- EUR 10.000.000 SENIOR PREFERRED NOTES DUE 2027 | Bonds | BANCO CTT, S.A. | 100,000.00 | EUR | |
PTBIG2VM0006 | BIG2VM | BANCO DE INVESTIMENTO GLOBAL - ACOES PREFERENCIAIS REMIDAS | Shares | BANCO DE INVESTIMENTO GLOBAL, S.A. | 1.00 | EUR | |
PTBIG0AM0003 | BIG AM | BANCO DE INVESTIMENTO GLOBAL, SA | Shares | BANCO DE INVESTIMENTO GLOBAL, S.A. | 1.00 | EUR | |
PTBFO0AM0003 | BFO AM | BANCO PORTUGUES DE FOMENTO | Shares | BANCO PORTUGUÊS DE FOMENTO, S.A. | 1.00 | EUR | |
PTBPP0AM0009 | BPP AM | BANCO PRIVADO PORTUGUES, SA | Shares | BANCO PRIVADO PORTUGUÊS, S.A. | 1.00 | EUR | |
PTCPP0AM0007 | CPP AM | BANCO SANTANDER TOTTA, S.A. | Shares | BANCO SANTANDER TOTTA, S.A. | 1.00 | EUR | |
PTBNM0AM0001 | BNM AM | BANIF IMOBILIARIA, SA | Shares | BANIF IMOBILIÁRIA, S.A. | 2.50 | EUR | |
PTBAT0AN0010 | BAT AN | BARRAQUEIRO TRANSPORTES SA | Shares | BARRAQUEIRO TRANSPORTES, S.A. | 5.00 | EUR | |
PTBBZ0AM0008 | BBZ AM | BBZ - PUBLICIDADE E MARKETING, SA | Shares | BBZ - PUBLICIDADE E MARKETING, S.A. | 5.00 | EUR | |
PTBCS3OE0028 | BCS3OE | BCP/10-EUR 1000 M.FLT.R.COVERED BONDS- APRIL 2027-SER.7 | Bonds | BANCO COMERCIAL PORTUGUÊS, S.A. | 50,000.00 | EUR | |
PTBCSFOE0024 | BCSFOE | BCP/10-EUR 2.000 M.-FLOATING RATE COVERED BONDS-OCT. 2025-SER.6 | Bonds | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | |
PTBIPGOE0061 | BIPGOE | BCP/10-EUR 2.700 M.- FLT. RATE COVERED BONDS DUE OCT. 2028 | Bonds | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | |
PTBCQLOE0036 | BCQLOE | BCP/2012-EUR 4.000 M. FLT.R.COVERED BONDS-APRIL 2026-S.8 | Bonds | BANCO COMERCIAL PORTUGUÊS, S.A. | 200,000.00 | EUR | |
PTBITTYE0094 | BITTYE | BCP/2016 - CERTIFICADOS SOBRE O MSCI WORLD PRICE EUR INDEX | Certificates | BANCO COMERCIAL PORTUGUÊS, S.A. | 0.00 | EUR | |
PTBCPWOM0034 | BCPWOM | BCP/2017-EUR 300.000.000-SUBORDINATED FIXED RATE RESET NOTES DUE 07 DEC.2027 - SER.854 | Bonds | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR |