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Fulvia SPV S.r.l.

Transaction Summary
 
Principal Amount Outstanding on Issue Date
Currency
Issue Date
Final Legal Maturity Date
Listing
ISIN code
Common Code
Indexation
Spread / Fixed Rate
Payment Frequency
Type of Amortisation
Status
Class A1 NotesClass A2 NotesClass B NotesClass C NotesClass D NotesClass E NotesClass Z Notes
337.500.000337.500.00048.700.00016.900.0009.400.0008.300.0001.200.000
EUREUREUREUREUREUREUR
28 July 202528 July 202528 July 202528 July 202528 July 202528 July 202528 July 2025
23 December 204023 December 204023 December 204023 December 204023 December 204023 December 204023 December 2040
LuxembourgLuxembourgLuxembourgLuxembourgLuxembourgLuxembourgN.A.
IT0005657553IT0005657785IT0005657793IT0005657801IT0005657819IT0005657827IT0005657835
311672380311672428311672436311672452311672479311672487N.A.
Euribor 3MEuribor 3MEuribor 3MEuribor 3MEuribor 3MEuribor 3MN.A.
0,7000 %0,7000 %0,9000 %1,1500 %1,5800 %1,7400 %N.A.
QuarterlyQuarterlyQuarterlyQuarterlyQuarterlyQuarterlyQuarterly
AmortisingAmortisingAmortisingAmortisingAmortisingAmortisingAmortising
Still OutstandingStill OutstandingStill OutstandingStill OutstandingStill OutstandingStill OutstandingStill Outstanding