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Florence SPV S.r.l.

Transaction Summary
 
Principal Amount Outstanding on Issue Date
Currency
Issue Date
Final Legal Maturity Date
Listing
ISIN code
Common Code
Spread / Fixed Rate
Payment Frequency
Type of Amortisation
Class A NotesClass B NotesClass J Notes
2.712.300.000500.800.0001.043.200.000
EUREUREUR
30 May 201330 May 201330 May 2013
23 October 204023 October 204023 October 2040
LuxembourgLuxembourgN.A.
IT0004924848IT0004924699IT0004924855
093896939093896998N.A.
0,7500 %0,9000 %N.A.
QuarterlyQuarterlyQuarterly
AmortisingAmortisingPass-through
Originator
Findomestic Banca SpA
Servicer
Findomestic Banca SpA
Back-up Servicer
BNP Paribas Personal Finance S.A.
Representative of Noteholders
SECURITISATION SERVICES S.p.A.
Computation Agent
SECURITISATION SERVICES S.p.A.
Cash Manager
Findomestic Banca SpA
Account Bank
BNP Paribas Securities Services, Milan branch
Principal Paying Agent
BNP Paribas Securities Services, Milan branch
Corporate Servicer
SECURITISATION SERVICES S.p.A.
Listing Agent
BNP Paribas Securities Services, Luxembourg Branch
Sottoscrittore Iniziale dei Titoli
Findomestic Banca SpA