All security types

GPM GESTION ACTIVA, FI
ISINFISNNumber of securities / Issue amountIssue dateMaturity dateNominal / MTV / PriceCurrencyInterest rateCFI 2015
ES0142630005 GPM GTION ACT FI/PT RET ABS  29/04/2016  EUR CIOGLU
ES0142630013 GPM GTION ACT FI/PT MIXTO EUR  29/04/2016  EUR CIOGLU
ES0142630021 GPM GTION ACT FI/PT CIRENE CAP  29/04/2016  EUR CIOGLU
ES0142630039 GPM GTION ACT FI/PT GRW CAP  29/04/2016  EUR CIOGLU
ES0142630047 GPM GTION ACT FI/PT GTION GLB  29/04/2016  EUR CIOGLU
ES0142630054 GPM GTION ACT FI/PT ALC  03/03/2017  EUR CIOGLU
ES0142630062 GPM GTION ACT FI/PT QUANT EUR  29/10/2021  EUR CIOGLU
ES0142630070 GPM GTION ACT FI/PT COYUNT  03/12/2021  EUR CIOGLU
ES0142630088 GPM GTION ACT FI/PT TEND INTNAL  28/01/2022  EUR CIOGLU
ES0142630096 GPM GTION ACT FI/PT ASIG TAC  25/03/2022  EUR CIOGLU
ES0142630104 GPM GTION ACT F/PT OPTIM LUX  28/10/2022  EUR CFOGIU

For more information, contact to the Spanish National Numbering Agency