Real-time Euronext Paris 01:32:12 31/05/2024 BST | ||
100 EUR | 0.00% |
Historical data
Date | Opening | High | Low | End-of-day | Volume |
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Static data
Product type | Obligations Convertibles |
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Buy / Sell | CALL |
Underlying | EURO STOXX 30 SELECT DIVIDEND(EUR) |
Issuer | Caisse Fédérale du Crédit Mutuel Nord Europe |
6CMBW | |
ISIN | FR0012636181 |
Date issued | 30/03/2015 |
Maturity | 03/06/2025 (369 Days) |
Parity | 1 : 1 |
Emission price | - € |
Emission volume | N/A |
Settlement | règlement en espèces |
Currency | EUR |
Technical Indicators
Highest since issue | 100 € |
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Lowest since issue | 100 € |
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