Liste d'obligations internationales ( Toutes )

EmetteurPays
Coupon minCoupon maxTranche minimale <= Devise
Prix minPrix maxEcheance minEcheance max
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Société émettrice Code ISIN Devise Coupon Montant minimal Maturité Prix sur le marché
BNP Paribas SA BE6370700310 EUR 0%   22/03/2026 Echue
Petrosur XS0787718872 USD 5.5%   12/04/2037
State of Telangana IN4520200333 INR 7%   17/02/2051 100
United Holdings BV XS2010029150 EUR 4%   14/11/2027 100
LBBW DE000LB1A656 EUR 0.5%   15/09/2020 Echue
Gulfport Energy Operating Corp USU40347AJ26 USD 6.75%   31/08/2029 100
ISB Rheinland-Pfalz DE000A460KN8 EUR 3.25%   22/06/2036 100
Francia FR0129570612 EUR 0%   13/01/2027 100
UniCredit Obligations IT0005717902 EUR 0%   25/06/2028 99.96
Iberdrola Energía XS3418565829 EUR 3.125%   24/06/2030 100
Iberdrola Energía XS3418566124 EUR 3.75%   24/06/2036 100.31
Latvenergy AS XS3412686563 EUR 4.162%   24/06/2033 100
Canary Islands Region ES0000093502 EUR 3.5%   29/04/2036 100
Hôpital Universitaire de Bordeaux FR0014006W57 EUR 0.49%   30/11/2036 100
EEW Energy from Waste XS3385465482 EUR 3.875%   23/06/2029 100
LANXES AG XS3402928637 EUR 4.375%   23/06/2031 100
Ferrovie Italiane S.p.A XS3420368998 EUR 3.25%   23/06/2031 100
HT Toplast GmbH XS3415269490 EUR 7.625%   14/07/2031 101.64
CPI Real Estate Group XS3412577515 EUR 8.5%   Perpétuelle 100
CoreWeeve USU2069EAE06 USD 9.625%   14/07/2032 100
EBRDS XS3389674030 USD 4.862%   27/05/2036 100
Mediobanca Obligazioni IT0005717944 EUR 3.125%   23/08/2032 100
RevoCar S.A XS3343272566 EUR 2.835%   20/10/2039 100
RELX Finance XS3317607060 EUR 3.75%   02/06/2034 100
Mercantil Norte Banco USP1400MAG35 USD 8.45%   Perpétuelle 100
Mercantil Norte Banco USP1400MAF51 USD 8%   Perpétuelle 100
FreddieMac Bonds US3128X5DV73 USD 0%   15/05/2012 Echue
RELX Finance XS3317606419 EUR 3.25%   21/05/2029 100.43
Statnett AS XS3417524421 EUR 3.5%   19/03/2035 100
AgriCredit Italia S.p.A IT0005715724 EUR 3.5%   23/06/2037 100
NIBC Banque N.V. XS3422200025 EUR 3.057%   24/06/2031 100
Bolivia Bonds USP37878AF56 USD 9.45%   14/05/2031 100
California Bond US13063D2V90 USD 5%   01/10/2028 100
Ayvens & Co FR0014019BT2 EUR 3.5%   22/06/2032 100.17
FHLB Obligations US3130A8NR03 USD 1.125%   11/10/2019 Echue
Caixa Economica Montepio Geral Bonds PTCMGBOM0045 EUR 3.625%   22/06/2031 99.84
Snamprogetti XS3406813124 EUR 3.125%   21/06/2030 100
Snamprogetti XS3406814445 EUR 3.875%   21/06/2036 100
BAWAG PSK Wohnbaubank XS3413306617 EUR 3.125%   21/06/2029 99.97
ICREA Bank IT0005712127 EUR 2.8%   27/05/2031 100
RCI Bank Obligations FR00140193X6 EUR 4%   18/08/2031 100.58
Raiffeisen Landesbank OÖ AG AT0000A3VG25 EUR 3%   22/10/2031 100
Wolters Kluver XS3395917761 EUR 3.625%   21/06/2033 100
Italia Bonds IT0005713547 EUR 1.6%   23/06/2031 100
Iseland Bonds XS3388350434 EUR 3.25%   26/05/2031 100
Bayern Landesbank DE000BYL0J59 EUR 2.75%   21/06/2029 100
Kommerzbank AG DE000CZ46CU5 EUR 0%   11/06/2034 100
Californian Resources USU1303AAK26 USD 7.25%   15/01/2035 100
Kommerzbank AG XS3411889465 USD 0%   18/06/2029 100
Fidelity Investments US30251BAC28 USD 6.5%   13/12/2040 100
Bank of America Inc. US060505EG51 USD 5.125%   Perpétuelle 100
RaiffeisenBank AT0000A3UHX9 USD 3.25%   28/05/2029 100
Greater Toronto Airports CA39191ZBC29 CAD 2.73%   02/04/2029 100
RENA Bonds DE000A1TNHG1 EUR 8.25%   11/07/2018 Echue
Norddeutsche Landesbank DE000NLB8K36 EUR 1.42%   22/02/2026 Echue
Ginnie Mae 2019-31 US36193UB296 USD 3.5%   31/05/2046 100
Stanchart Bank USG84228HJ04 USD 7%   Perpétuelle 100
Nederlandse Waterbank US63983TAX37 USD 1.25%   16/01/2018 Echue
Credit Agricole SA Notes FR00140193E6 EUR 5.875%   Perpétuelle 101.01
LBBW US5148X0W842 USD 0%   07/09/2025 Echue
Bulgarian Energy Holdings XS2367164576 EUR 2.45%   21/07/2028 100
NatWest Holdings XS3394864766 GBP 7.5%   Perpétuelle 100
Interamerican Development Bank XS3275404591 BRL 12%   26/01/2031 96.29
CANPACK Group Inc XS3352591906 EUR 4.875%   14/01/2032 100
Basque Country ES0000106783 EUR 3.45%   31/10/2035 100
Mediobanca Obligazioni IT0005707796 EUR 4%   18/06/2032 100
Volkswagon US928668AU66 USD 4.75%   13/11/2028 100
AS LHV Pank XS3416881087 EUR 0%   18/06/2031 100
Francia FR0129570570 EUR 0%   30/09/2026 100
Sparkassen Pforzheim-Calw DE000A46ZYR9 EUR 2.75%   24/05/2029 100
Croatica HRRHMFT638N3 EUR 0%   17/09/2026 100
FreddieMac Bonds US3134GTA949 USD 2.125%   24/07/2023 Echue
Aeroports de Paris Bonds FR0014018OR1 EUR 3.875%   17/06/2035 100
Norddeutsche Landesbank DE000NLB5545 EUR 3.375%   16/06/2031 100
Montreal Bank XS3397036123 EUR 2.75%   07/06/2029 100
Argenta Spaarbank BE6374825824 EUR 3.25%   17/06/2032 100
Asia Development Bank XS3408976507 EUR 3.1%   17/06/2033 100
Simon Global Development XS3330157572 EUR 3.65%   15/06/2031 100
Münchner Hypothekenbank eg DE000MHB43J4 EUR 2.875%   04/07/2029 100
Investment Latour Bonds SE0012676518 NOK 0.878%   25/09/2024 Echue
Turk Telekom AS US90011QAE08 USD 6.95%   06/10/2032 100
Montreal Bank XS3397036396 EUR 3.125%   07/06/2033 99.72
European Development Council Bank XS3410918612 EUR 3.25%   16/06/2036 100
United States Bonds US91282CQT17 USD 4.25%   31/05/2033 100
Federal Agricultural Credit Bank Bonds US3133EGWS02 USD 0%   30/10/2017 Echue
UniCredit Obligations IT0005716805 EUR 3%   31/07/2029 100
UniCredit Obligations IT0005716797 EUR 3.375%   31/07/2033 100
Agrarrentenbank XS3410927365 EUR 0%   15/06/2033 100
Wiederaufbaubank XS3410927282 USD 5.04%   15/06/2038 100
AkzoNobel XS3402712627 EUR 3.625%   16/06/2029 100
EurBank SA XS2562543442 EUR 10%   05/12/2032 108.61
Dassault Systemes Bonds FR0014019147 EUR 3.375%   16/06/2031 100
Xunta de Galicia ES0001352659 EUR 3.29%   29/04/2033 100
Oberösterreichische Sparkassen AG AT000B101761 EUR 2.875%   26/07/2029 100
First Group Bonds AT000B007125 EUR 3.5%   21/05/2019 Echue
Herbie Re Bonds US42703VAF04 USD 0%   08/01/2027 100
LT Rahoitus 2026 DAC XS3273179112 EUR 2.507%   19/07/2037 100
Region Wallonne BE0390355270 EUR 2.992%   16/03/2028 100
FreddieMac Bonds US3128X0EZ81 USD 5.6%   06/11/2012 Echue