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BPL Mortgages S.r.l. - Series 2022

Transaction Summary
 
Principal Amount Outstanding on Issue Date
Currency
Issue Date
Final Legal Maturity Date
Listing
ISIN code
Indexation
Spread / Fixed Rate
Payment Frequency
Type of Amortisation
Class A NotesClass J NotesClass A 2025Class J 2025
1.800.000.000656.397.0002.851.700.000234.210.000
EUREUREUREUR
27 April 202227 April 202210 February 202510 February 2025
25 October 206425 October 206425 October 206425 October 2064
ItalyN.A.ItalyN.A.
IT0005493447IT0005493421IT0005634578IT0005634586
Euribor 3MN.A.Euribor 3MN.A.
0,7000 %N.A.0,8000 %N.A.
QuarterlyQuarterlyQuarterlyQuarterly
AmortisingAmortisingAmortisingAmortising