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Details

Security
Local Code:
11054
ISIN:
LB0000110546
Description (English):
Optimal Investment Fund LBP
Description (Arabic):
Optimal Investment Fund LBP
Security Type:
MUTUAL FUNDS
Legal Type:
Bearer
Issue Currency:
LBP
Traded Currency:
LBP
Issuer:
Optimal Investment Fund LBP
Total Number Of Shares:
Face Value:
Physical:
n
Listed:
n
Priced Daily:
N
Start Date:
3/31/2010 12:00:00 AM
Maturity Date:
First Payment Date:
Lot Size:
1.00
Trading Multiple:
1.00
Payment Frequency:
12
Interest Type:
v
Interest Rate:
BDL Circular Number:
BDL Month Category:
BDL Number Of Days:
FISIN:
MUT FD
CFI:
CIOILX

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