Stock and bond issues, issuers, Czech ISIN database

Issues od bonds and shares on the Czech capital market, issues of government and corporate bonds

Issues or Issuer name
 

Latest issues of securities, bonds and shares

ISINNameType Nominal Number Issue date
CZ0009003257 ELVAC Shares 40 000 CZK 347 21.04.2017
CZ0005134809 STRIX CHOMUTOV Shares 10 000 CZK 201 20.04.2017
CZ0009003844 EIDENTITY Shares 10 000 CZK 200 20.04.2017
CZ0009003851 EIDENTITY Shares 100 000 CZK 60 20.04.2017
CZ0005133835 AQUECON Shares 100 000 CZK 20 20.04.2017
Other dates: 21.4.2017 (1) 20.4.2017 (5) 19.4.2017 (1) 18.4.2017 (2) 13.4.2017 (11) 10.4.2017 (2)
Vývoj objemu registrovaných emisí cenných papírů [mil]

Issuers with highest number of issues

IDIssuer name Issues
00006947 Česká republika - Ministerstvofinancí 451
8880073215 U.S.Treasury 258
8880159721 Erste Group Bank AG 251
8880073177 Republic of France 180
8880072863 Bundesrepublik Deutschland 164
FN117507 Raiffeisen Centroban 97
8880072987 KFW BANKENGRUPPE 81
8880159764 Raiffeisen Centrobank AG 71
47115629 BCPP 70
45317054 Komerční banka, a.s. 50
8880073096 NETHERLANDS 48
43873766 Generali Investments CEE, a.s. 48
45244782 ČESKÁ SPOŘITELNA, A.S. 41
13584324 Hypoteční banka, a.s. 41
60196769 Investiční kapitálová společnostKB, a.s. 37
47672684 J&T INVESTIČNÍ SPOLEČNOST, a.s. 35
26747154 Wüstenrot hypoteční bankaa.s. 34
8880072928 EIB/BEI - Banque EuropeenneD''investissement 34
49240901 Raiffeisenbank a.s. 32
64948242 UniCredit Bank Czech Republic and Slovakia, a.s. 30

Poslední změny emisí cenných papírů

ISINNameType Date of change Nominal Number
CZ0009003257 ELVAC Shares 21.04.2017 40 000 CZK 347
CZ0005133835 AQUECON Shares 20.04.2017 100 000 CZK 20
CZ0005134809 STRIX CHOMUTOV Shares 20.04.2017 10 000 CZK 201
CZ0009003844 EIDENTITY Shares 20.04.2017 10 000 CZK 200
CZ0009003851 EIDENTITY Shares 20.04.2017 100 000 CZK 60
CZ0009004834 E-BUSINESS SERVIC. Shares 20.04.2017 100 000 CZK 160
CZ0009004495 ISC COMMUN. CZECH Shares 19.04.2017 10 000 CZK 100
CZ0005134858 PHILIPP SPORT. TR. Shares 18.04.2017 10 000 CZK 200
CZ0009004610 PETR CAR Shares 18.04.2017 1 000 000 CZK 9
CZ0000301353 IC VENTURE IN.17-3 Certificate 13.04.2017 1 USD 250 000
CZ0005134585 VTB BRNO Shares 13.04.2017 10 000 CZK 100
CZ0005134965 TRAFO Shares 13.04.2017 20 000 CZK 1 990
CZ0005134973 TEPLÁRNA ŠTERNBERK Shares 13.04.2017 164 640 CZK 20
CZ0008210143 ČSAD BUS UH. HRAD. Shares 13.04.2017 300 CZK 119 638
CZ0009002127 SIKS Shares 13.04.2017 20 000 CZK 100
CZ0009003281 ENVIR POWER OSTR. Shares 13.04.2017 20 000 CZK 100
CZ0009005245 PATRIA CORP. FIN. Shares 13.04.2017 100 000 CZK 10
CZ0009005278 XERTEC Shares 13.04.2017 50 000 CZK 300
CZ0009005443 CPI HOTELS Shares 13.04.2017 3 CZK 400 000
CZ0009005450 CPI HOTELS Shares 13.04.2017 265 CZK 5 180
CZ0008210135 SKYPORT Shares 10.04.2017 500 000 CZK 100
CZ0009004891 MALÉ ZDRAVÍ Shares 10.04.2017 1 000 000 CZK 10
CZ0000000898 PENTA FUN. 4,05/20 Bond 06.04.2017 50 000 CZK 4 000
CZ0005134163 FIERA Shares 06.04.2017 1 000 CZK 2 000
CZ0005134825 NIONEX Shares 06.04.2017 100 000 CZK 20
CZ0008210085 FTL Shares 06.04.2017 1 000 CZK 67 300
CZ0009005203 THT OSTRAVA Shares 06.04.2017 100 000 CZK 200
CZ0005134387 ABP CONSULTING Shares 04.04.2017 10 000 CZK 120
CZ0009004701 UNIAGRA CZ Shares 04.04.2017 10 000 CZK 100
CZ0005134643 PM ALIANCE Shares 03.04.2017 20 000 CZK 100
CZ0008042611 ČSOB LEASING Shares 03.04.2017 10 000 000 CZK 305
CZ0009004727 INST. ENV. SLUŽEB Shares 03.04.2017 20 000 CZK 100
CZ0009005013 NOEN HOLDING Shares 03.04.2017 200 000 CZK 10
CZ0009005070 BUSINESS SYSTEMS Shares 03.04.2017 100 000 CZK 10
CZ0009005088 BUSINESS SYSTEMS Shares 03.04.2017 10 000 CZK 100
CZ0005134668 GEMOS DOPR. SYST. Shares 31.03.2017 100 000 CZK 20
CZ0003515934 PSG 5,25/23 Bond 30.03.2017 10 000 CZK 200 000
CZ0005133264 EKOKLIMA Shares 30.03.2017 1 000 CZK 2 114
CZ0005133272 EKOKLIMA Shares 30.03.2017 5 000 CZK 3 769
CZ0005133488 ZVI Shares 30.03.2017 1 000 000 CZK 228
CZ0005133546 MROZEK Shares 30.03.2017 100 000 CZK 1 308
CZ0005134692 SES BOHEMIA ENGIN. Shares 30.03.2017 10 000 CZK 100
CZ0005134742 EVO - KOMOŘANY Shares 30.03.2017 200 000 CZK 10
CZ0005134759 EVO - KOMOŘANY Shares 30.03.2017 1 000 000 CZK 38
CZ0008042629 ARETE INV SUB II-X Fund 30.03.2017 0 EUR 14 392
CZ0008042637 ARETE INV SUB II-Y Fund 30.03.2017 0 EUR 11 994
CZ0009000626 VIS Shares 30.03.2017 15 000 CZK 211
CZ0009002671 NOTES CS Shares 30.03.2017 5 000 CZK 1 000
CZ0009002739 GEOSAN STAVEBNÍ Shares 30.03.2017 1 760 000 CZK 429
CZ0009002747 GEOSAN STAVEBNÍ Shares 30.03.2017 1 CZK 429

Poslední změny emitentů

IDIssuer name Date of change
25833812 ELVAC a.s. 21.04.2017
14868202 AQUECON a.s. 20.04.2017
26115808 e-Business Services a.s. 20.04.2017
27112489 eIdentity a.s. 20.04.2017
27274535 STRIX Chomutov, a.s. 20.04.2017
26315521 ISC Communication Czech a.s. 19.04.2017
27476537 PHILIPP SPORTOVNÍ TRÁVNÍKY a.s. 18.04.2017
28167228 PETR CAR a.s. 18.04.2017
03046524 Teplárna Šternberk, SE 13.04.2017
04171845 Envir&Power Ostrava a.s. 13.04.2017
25661680 VTB Brno a.s. 13.04.2017
25671413 Patria Corporate Finance, a.s. 13.04.2017
27399508 XERTEC a.s. 13.04.2017
27636224 Trafo CZ, a.s. 13.04.2017
27752968 ČSAD BUS Uherské Hradiště a.s. 13.04.2017
28213882 SIKS a.s. 13.04.2017
01881621 MALÉ ZDRAVÍ a.s. 10.04.2017
27880176 Skyport a.s. 10.04.2017
25166361 Fiera a.s. 06.04.2017
25854542 THT Ostrava CZ, a.s. 06.04.2017

Emission by year

Number of securities Volume [mil]
YearType CZK EUR USD Other CZK EUR USD Other
2017 Warrant 15 0 0 0 0.00 0.00 0.00 0.00
2017 Certificate 3 1 3 0 67.19 25.20 2.36 0.00
2017 Fund 6 5 1 0 0.00 0.00 0.00 0.00
2017 Coupon 10 0 0 0 3 750.00 0.00 0.00 0.00
2017 Bond 19 2 0 0 508 088.00 33.00 0.00 0.00
2017 Shares 307 0 0 0 34 296.21 0.00 0.00 0.00
2016 Warrant 40 0 0 0 0.00 0.00 0.00 0.00
2016 Certificate 14 3 1 0 1 642.60 22.04 0.20 0.00
2016 Fund 13 4 0 0 102.00 0.00 0.00 0.00
2016 Domestic bonds 1 1 0 0 579.00 200.00 0.00 0.00
2016 Bond 53 21 21 0 104 575.48 137 134.54 426 525.00 0.00
2016 Shares 687 1 0 0 156 867.35 0.60 0.00 0.00
2015 Warrant 15 0 0 0 0.00 0.00 0.00 0.00
2015 Certificate 13 0 1 0 25.00 0.00 1.60 0.00
2015 Fund 24 1 0 0 4 195.08 0.00 0.00 0.00
2015 share certificate-unit trust 1 1 0 0 244.48 45.50 0.00 0.00
2015 Coupon 34 0 0 0 7 030.60 0.00 0.00 0.00
2015 Domestic bonds 1 1 0 0 1 000.00 21.29 0.00 0.00
2015 Bond 34 84 52 0 229 050.54 360 113.78 940 842.00 0.00
2015 Shares 63 4 0 0 11 362.85 11 871.66 0.00 0.00
2014 Warrant 14 0 0 0 0.00 0.00 0.00 0.00
2014 Certificate 30 0 0 0 0.00 0.00 0.00 0.00
2014 Warrant 0 1 1 0 0.00 0.00 0.00 0.00
2014 Certificate 17 2 0 0 999.00 79.10 0.00 0.00
2014 Fund 3 0 0 0 96.48 0.00 0.00 0.00
2014 share certificate-unit trust 1 0 0 0 99.78 0.00 0.00 0.00
2014 right of subscription 0 1 0 0 0.00 0.00 0.00 0.00
2014 right of priority 0 0 1 0 0.00 0.00 0.00 0.00
2014 Coupon 15 0 0 0 13 778.41 0.00 0.00 0.00
2014 Domestic bonds 1 0 0 0 1 000.00 0.00 0.00 0.00
2014 Bond 55 108 57 0 297 323.08 349 279.34 933 130.85 0.00
2014 Shares 695 6 0 0 48 064.53 34.83 0.00 0.00
2013 Warrant 0 1 1 0 0.00 0.00 61.05 0.00
2013 Certificate 81 0 0 0 0.00 0.00 0.00 0.00
2013 Certificate 17 2 1 0 951.00 10.00 10.00 0.00
2013 share certificate-unit trust 1 1 0 0 55.30 25.81 0.00 0.00
2013 right of subscription 0 1 0 0 0.00 2.70 0.00 0.00
2013 right of priority 0 1 0 0 0.00 0.00 0.00 0.00
2013 Coupon 27 0 0 0 29 996.64 0.00 0.00 0.00
2013 Bond 44 147 74 0 395 974.64 754 627.65 1 386 862.00 0.00
2013 Shares 24 0 2 1 1 443.04 0.00 136.80 20.00

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