Price-sensitive information on issuers of securities up to 08/02/2020
VAL BANCAJA 1, F.T.A.
Page 3 out of 7
from 01/07/1988 to 26/06/2024
The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish
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21/03/2014
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14:27
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - credit ratings
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Revisión de calificaciones de Bonos por Moody´s.
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Register number: 202338
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25/02/2014
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09:50
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - announcements on payment date
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Determining of interest rate for the payment date May 26, 2014
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Register number: 200824
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25/11/2013
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09:52
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - announcements on payment date
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Determining of interest rate for the payment date February 26, 2014
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Register number: 195823
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23/08/2013
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10:41
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - announcements on payment date
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Determining of interest rate for the payment date November 26, 2013
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Register number: 192143
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21/05/2013
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17:43
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - credit ratings
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Revisión de calificaciones de Bonos por Fitch.
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Register number: 187863
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10/05/2013
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12:29
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - credit ratings
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Revisión de calificaciones de Bonos por Moody´s.
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Register number: 187007
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26/03/2013
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11:02
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - credit ratings
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Revisión de calificaciones de Bonos por Fitch.
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Register number: 184381
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23/01/2013
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09:48
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VAL BANCAJA 1, F.T.A.
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Securitisation funds - credit ratings
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Constitución de depósito por riesgo de commingling
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Register number: 181353