All security types

SABADELL CONSUMO 2, FONDO DE TITULIZACION
ISINFISNNumber of securities / Issue amountIssue dateMaturity dateNominal / MTV / PriceCurrencyInterest rateCFI 2015
ES0305622005 SAB CONS 2 FT/VAR BTA 20341224 A 501,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622013 SAB CONS 2 FT/VAR BTA 20341224 B 85,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622021 SAB CONS 2 FT/VAR BTA 20341224 C 50,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622039 SAB CONS 2 FT/VAR BTA 20341224 D 32,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622047 SAB CONS 2 FT/VAR BTA 20341224 E 16,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622054 SAB CONS 2 FT/VAR BTA 20341224 F 12,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB
ES0305622062 SAB CONS 2 FT/VAR BTA 20341224 G 54,000,000.0008/07/202224/12/2034100,000.00EUR DAVSBB

For more information, contact to the Spanish National Numbering Agency