BTP ITALIA SI 23 GN 31

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ISIN
IT0005713547
Date
09/10/2026 - 3:22pm

Instrument Info

Field Value
Repubblica Italiana
IT0005713547
BTP ITALIA SI 23 GN 31
Italian Government Bond
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Floating rate
6M
1.60
23/06/2026 23/06/2026 18/06/2031 23/06/2031 23/12/2026 8842593000 No

Settlement info

Automatic Domestic with Central Counterpart MONTETITOLI GAR EUR 13/10/2026 Secco ACT/ACT

Book

1 200,000 99.82 100.03 200,000 1
1 300,000 99.8 100.05 300,000 1
1 175,000 99.63 100.22 175,000 1

Parameters

IT0005713547 BTP ITALIA SI 23 GN 31 95.873 - 103.861 98.369 - 101.365 99.867 9:00 17:30 Active
Banca Sella Holding S.p.A.
Banco BPM S.p.A.
Iccrea Banca S.p.A.
MifidII
MifidII
MifidII
150000 -