Friday, March 21, 2025
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ISIN code | MA0000021537 |
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Ticker | OFECA |
Index | Utilities |
Issuer | FONDS D'EQUIPEMENT COMMUNAL |
Issuing date | 17/01/2012 |
Amount issued KMAD | 150 000,00 |
Amount to repay KMAD | 20 000,00 |
Nominal value | 13 333,33 |
Amortization type | Equal annual series |
Maturity | 15 |
Rate | 5,30 |
Rating method | % |
Loan type | Debenture loan with fixed rate |
Reference price % | 102,34 |
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Price % | 102,34 |
Trades volume | - |
Securities volume | - |
Number of contracts | - |
Prices and volumes history
https://www.casablanca-bourse.com/undefined//live-market/instruments/OFECA
Sunday, March 23, 2025 10:51:26