Instrument Information - Detail
Instrument
Instrument Type :
Debt Securities
Instrument Short Name :
TGB-BOND2010
Instrument Name :
Guaranteed redeemable convertible bonds
Currency :
USD
Issuer Name :
TGB (SPV) Ltd
Maturity Date :
5/17/2010
ISIN :
XS0219369526
Listing
Listing Class :
First Issue
Issue Capital :
1.000
Listing Method :
Full
Total Units Offered :
95,000,000
Listing Date:
17-May-2005
Subscribe Price :
100.00000
Principle Code :
Conventional
Par Value :
0.000
Issuer / Company
Issuer Code :
000027
Issuer Name :
TGB (SPV) Ltd
Currency :
Total Asset :
1.000
Intangible Asset :
0.000
Shareholder's Fund :
1.000
Total Liabilities :
0.000
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