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Securities Under Custody

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ISIN Code CVM Code Issue Type Integration date Issuer name Nominal value
PTEDP4OM0025 EDP4OM EDP/2023-EUR 1.000 M. FIXED TO RESET RATE HIBRID SUBORD.GREEN INSTRUMENTS-2083-EMTN-Sr.48 Bonds EDP, S.A. 100,000.00 EUR
PTEDPUOM0008 EDPUOM EDP/2023-EUR 750 M.-3.875 per cent FIXED RATE GREEN INSTRUMENTS-26 JUN.2028-EMTN-SR. 49 Bonds EDP, S.A. 100,000.00 EUR
PTEDPSOM0002 EDPSOM EDP/2024-EUR 1.000 M. FIXED TO RESET RATE HIBRID SUBORD.GREEN INSTRUMENTS-2054-EMTN-Sr.54 Bonds EDP, S.A. 100,000.00 EUR
PTEDPZOM0011 EDPZOM EDP/2024-EUR 750 M. FIXED TO RESET RATE HIBRID SUBORD.GREEN INSTRUMENTS-2054-EMTN-Sr.53 Bonds EDP, S.A. 100,000.00 EUR
PTEFRFOM0011 EFRFOM EFANOR INVESTIMENTOS/2024 - 2027 Bonds EFANOR INVESTIMENTOS, SGPS, S.E. 100,000.00 EUR
PTEGPAOM0017 EGPAOM EGREP/2008-EUR 360 M.-FLOATING RATE NOTES DUE 2028 Bonds ENTIDADE NACIONAL PARA O SETOR ENERGÉTICO, E.P.E. (ENSE, E.P.E.) 50,000.00 EUR
PTEDA0AM0001 EDA AM ELECTRICIDADE DOS ACORES, SA Shares EDA-ELECTRICIDADE DOS AÇORES, S.A. 5.00 EUR
PTEDAZAM0006 EDAZAM ELECTRICIDADE DOS ACORES, SA (IMOBILIZADAS 5 ANOS) Shares EDA-ELECTRICIDADE DOS AÇORES, S.A. 5.00 EUR
PTEDAXAM0008 EDAXAM ELECTRICIDADE DOS ACORES, SA - ESTADO Shares EDA-ELECTRICIDADE DOS AÇORES, S.A. 5.00 EUR
PTELTAOM0008 ELTAOM ELEGANT FAM. HOTELS CASCAIS/2023-EUR 20M-FIXED R.,DIRECT,UNCOND.,UNSUB.SEC.-FACILITY B NOTES-2042 Bonds ONYRIA BOUTIQUE HOTEL, S.A. 481.88 EUR
PTSFQCIM0009 SFQCIM EMERALD GREEN CAPITAL FUND - FCR FECHADO - CLASS A Participation Units STAG FUND MANAGEMENT SCR S.A. 50,000.00 EUR
PTSFQDIM0008 SFQDIM EMERALD GREEN CAPITAL FUND - FCR FECHADO - CLASS B Participation Units STAG FUND MANAGEMENT SCR S.A. 50,000.00 EUR
PTEMP0AM0000 EMP AM EMPREMEDIA - CORRETORES DE SEGUROS, SA Shares EMPREMÉDIA - CORRETORES DE SEGUROS, S.A. 1.00 EUR
PTEGF0AN0002 EGF AN EMPRESA GERAL DO FOMENTO, S.A. Shares EMPRESA GERAL DO FOMENTO, S.A. 5.00 EUR
PTEMT0AP0009 EMT AP EMPRESA MADEIRENSE DE TABACOS, S.A. Shares EMPRESA MADEIRENSE DE TABACOS, S.A. 5.00 EUR
PTISQRIM0009 ISQRIM ENERGY YIELD - FCR FECHADO - SUBFUNDO 2 - CATEGORIA A Participation Units ISQ - SOCIEDADE DE CAPITAL DE RISCO, S.A. 1.00 EUR
PTEGYAOM0008 EGYAOM ENERGYCO II/2019 - SECURED AND GUARANTEED FIXED FACILITY A NOTES DUE 2026 Bonds ENERGYCO II, S.A. 1.00 EUR
PTEGYBOM0007 EGYBOM ENERGYCO II/2019 - SECURED AND GUARANTEED FIXED RATE CAPEX NOTES DUE 2026 Bonds ENERGYCO II, S.A. 1.00 EUR
PTENP0AM0008 ENP AM ENERPULP - COGERACAO ENERGETICA DE PASTA, SA Shares ENERPULP - COGERAÇÃO ENERGÉTICA DE PASTA, S.A. 5.00 EUR
PTEKDAOM0007 EKDAOM ENIGMATIKADRENALINE/2020 - SENIOR NOTES DUE 2025 Bonds ENIGMATIKADRENALINE, S.A. 30,040.79 EUR
PTETG0AM0004 ETG AM ENTIGERE-ENTIDADE GESTORA DA REDE MULTISERVICOS, SA Shares ENTIGERE - ENTIDADE GESTORA DA REDE MULTISERVIÇOS, S.A. 5.00 EUR
PTELLAOM0006 ELLAOM EOLICA DA LOMBA/2017 - EUR 46.500.000 - Floating R.Secured Bonds - 2029 Bonds EÓLICA DA LOMBA, S.A. 0.45 EUR
PTSFMAIM0005 SFMAIM EQTY CGA 1 - FCR FECHADO - CATEGORIA A Participation Units STAG FUND MANAGEMENT SCR S.A. 1,000.00 EUR
PTSFMSIM0005 SFMSIM EQTY CGA 1 - FCR FECHADO - CATEGORIA B Participation Units STAG FUND MANAGEMENT SCR S.A. 1,000.00 EUR
PTSFMFIM0000 SFMFIM EQTY GLOBAL GROWTH - FCR FECHADO - CATEGORIA A Participation Units STAG FUND MANAGEMENT SCR S.A. 10,000.00 EUR
PTSFMGIM0009 SFMGIM EQTY GLOBAL GROWTH - FCR FECHADO - CATEGORIA B Participation Units STAG FUND MANAGEMENT SCR S.A. 10,000.00 EUR
PTSFQHIM0004 SFQHIM EQTY GLOBAL GROWTH II - FCR FECHADO - CATEGORIA A Participation Units STAG FUND MANAGEMENT SCR S.A. 10,000.00 EUR
PTEQXAOM0007 EQXAOM EQUITIX PLENIUM WIND 1/2021- 8 percent SENIOR UNSECURED BONDS DUE 31 MARCH 2045 Bonds EQUITIX PLENIUM WIND 1, LDA 0.83 EUR
PTERB1AM0008 ERB1AM ERIBRO, S.A. - DIR.ESPECIAIS Shares ERIBRO, S.A. 4.99 EUR
PTERH1AM0005 ERH1AM ERICH BRODHEIM, SA - DIREITOS ESPECIAIS Shares ERICH BRODHEIM, S.A. 5.00 EUR