Master data
2,0 % Inhaberschuldverschreibungen von 2025/27
Code number
A3828L
ISIN
DE000A3828L5
Issuer
Investitionsbank Berlin
Security type
Fixed Interest, Bank
Country
Germany
Home market
Börse Berlin
Market segment
Regulated Market
Nominal currency
Euro
Coupon Type
annually
Coupon
Fixed
Last trading day
16/07/2027
Price data
Last
%99.75
Change
n/a
Change in %
n/a
Date
16/07/2025
Time
13:31:47
Spread
%0.000
Bid
n/a
Bid Size
n/a
Ask
n/a
Ask Size
n/a
Open
%99.75
Previous day
n/a
High
%99.75
Low
%99.75
52 weeks high
n/a
52 weeks low
n/a
Nominal last trade
0
Nominal trade
0
Lead Broker
Name | Clearing account number |
---|---|
mwb fairtrade Wertpapierhandelsbank AG | 1181 |
Times & Sales
Date | Time | Last | Nominal trade |
---|---|---|---|
16/07/2025 | 13:31:47 | 99.75 | 0 |
Notices
Date of day | Lead broker | Market segment | Issuer | Day of first trading | |
---|---|---|---|---|---|
15/07/2025 | mwb fairtrade Wertpapierhandelsbank AG | Regulated Market | Investitionsbank Berlin | 16/07/2025 | ![]() |
15/07/2025 | mwb fairtrade Wertpapierhandelsbank AG | Regulated Market | Investitionsbank Berlin | 16/07/2025 | ![]() |
11/07/2025 | mwb fairtrade Wertpapierhandelsbank AG | Regulated Market | Investitionsbank Berlin | 16/07/2025 | ![]() |