Liste d'obligations internationales ( Toutes )

EmetteurPays
Coupon minCoupon maxTranche minimale <= Devise
Prix minPrix maxEcheance minEcheance max
Exclure échuesExclure en défaut



Société émettrice Code ISIN Devise Coupon Montant minimal Maturité Prix sur le marché
Belarusia BYM000001941 USD 6.2%   28/02/2030 Echue
Citi Global Markets Finance FR0014009V89 EUR 0%   22/07/2032 100
Swiss Credit FR001400F9B7 EUR 0%   08/03/2033 100
Citi Global Markets Finance FR001400ACT5 EUR 0%   13/05/2027 100
UBG FR001400GBG1 EUR 0%   22/06/2033 100
Swiss Credit FR001400FV51 EUR 0%   28/04/2033 100
Citi Global Markets Finance FR0014007C84 EUR 0%   02/06/2034 100
UBG FR0014002F94 EUR 0%   22/06/2033 100
UBG FR0013498623 EUR 0%   12/06/2030 100
Natixis Structured Finance FR0013373453 EUR 0%   21/12/2028 100
Natixis Structured Finance FR0014002SL9 EUR 0%   16/06/2031 100
Natixis Structured Finance FR0014002KO0 EUR 0%   02/04/2029 100
Natixis Structured Finance FR0014002ML2 EUR 0%   16/06/2031 100
Natixis Structured Finance FR00140004D7 EUR 0%   28/12/2026 100
Natixis Structured Finance FR0012611481 EUR 0%   05/05/2023 Echue
Natixis Structured Finance FR0014001P44 EUR 1.04%   29/01/2031 100
Natixis Structured Finance FR0014006OF1 EUR 0%   25/02/2032 100
Morgan Stanley Nederland FR0011637123 EUR 0%   04/12/2023 Echue
Morgan Stanley Nederland FR0013461654 EUR 0%   14/06/2027 100
Swiss Credit FR0014006TR5 EUR 0%   26/11/2031 100
Natixis Structured Finance FR0014001G94 EUR 0%   31/12/2030 100
Natixis Structured Finance FR0014003IA1 EUR 5%   02/07/2031 100
Swiss Credit FR0014005OP2 EUR 0%   22/12/2031 100
Natixis Structured Finance FR0014006HJ7 EUR 0%   17/11/2031 100
Natixis Structured Finance FR001400AHQ0 EUR 0%   18/05/2027 100
Natixis Structured Finance FR0014007QM0 EUR 0%   26/01/2032 100
Morgan Stanley Global PLC FR0013381308 EUR 5.5%   14/02/2029 100
China Bank (Paris Branch) FR0126130238 EUR 0%   26/05/2020 Echue
Jydsk Bank FR0125827651 EUR 0%   11/09/2020 Echue
Jydsk Bank FR0125827958 EUR 0%   11/09/2020 Echue
Natixis Structured Finance FR0014002TL7 EUR 0%   15/04/2031
Natixis Structured Finance FR0014002RP2 EUR 0%   08/04/2026
Natixis Structured Finance FR0014002NT3 EUR 5%   18/08/2031
Natixis Structured Finance FR0014002K55 EUR 0%   29/05/2029
Vodafone Plc US92857WAQ33 USD 6.15%   26/02/2037 110.28
Natixis Structured Finance FR0014005MI1 EUR 0%   22/12/2031
Natixis Structured Finance FR0013298940 USD 0%   01/12/2024 Echue
Natixis Structured Finance FR0013260478 EUR 0%   13/06/2025 Echue
Zigong Construction Engineering XS2957377430 USD 0%   10/12/2027
Natixis Structured Finance FR0014006QM2 EUR 0%   06/01/2032
Swiss Credit FR0014006PC5 EUR 0%   06/06/2024 Echue
Citi Global Markets Finance FR0014006LF7 EUR 0%   07/03/2034
Swiss Credit FR0014006IE6 EUR 0%   03/03/2032
Natixis Structured Finance FR0014006HW0 EUR 0%   24/11/2026
Goldman Sachs Global Bonds FR0014006GJ9 EUR 0%   28/01/2027
Natixis Structured Finance FR0014006G08 EUR 5%   08/03/2032
Swiss Credit FR0014006EH8 EUR 0%   04/11/2026
Singapura SGXF45447632 SGD 0%   01/04/2029
Natixis Structured Finance FR0013422292 EUR 0%   19/06/2023 Echue
Natixis Structured Finance FR0014006LS0 EUR 5%   10/04/2034
Natixis Structured Finance FR00140034R4 EUR 0%   29/06/2029
Filipinas PHY6972HMZ64 PHP 0%   13/10/2029
Natixis Structured Finance FR0014007DJ4 EUR 0%   22/03/2032
Israëli IL0012035791 ILS 0%   30/09/2027
Israëli IL0012023326 ILS 0%   30/03/2035
Israëli IL0011948028 ILS 0%   28/02/2029
Indonesie IDP000005902 IDR 0%   15/07/2041
Belarusia BYM000002469 USD 6.2%   28/02/2030 Echue
Natixis Structured Finance FR0013326725 EUR 5%   19/07/2028
Natixis Structured Finance FR0013321643 EUR 0%   08/03/2028
Swiss Credit FR0014006TU9 EUR 0%   26/11/2031
Natixis Structured Finance FR0014006TF0 EUR 0%   16/02/2032
Natixis Structured Finance FR0014006PD3 EUR 0%   24/12/2031
Swiss Credit FR0013442274 EUR 2.5%   06/12/2029
Wells Fargo & Company US94988J6F93 USD 0%   11/12/2026
Natixis Structured Finance FR0014007RP1 EUR 0%   21/01/2030
Citi Global Markets Finance FR00140073Q4 EUR 0%   05/05/2034
Natixis Structured Finance FR00140072L7 EUR 0%   16/02/2032
Citi Global Markets Finance FR00140071K1 EUR 0%   12/01/2032
Natixis Structured Finance FR0014007159 EUR 0%   28/01/2032
Citi Global Markets Finance FR00140070Y4 EUR 0%   15/03/2032
Swiss Credit FR00140070O5 EUR 0%   05/04/2032
Natixis Structured Finance FR0014002NA3 EUR 0%   09/06/2031
Morgan Stanley Nederland FR0013435450 EUR 0%   13/08/2029
Barclay Bank PLC FR0013429032 EUR 0%   01/10/2025 Echue
Natixis Structured Finance FR0014003AT8 EUR 5%   14/05/2031
Natixis Structured Finance FR0014003AS0 EUR 0%   15/07/2031
Euro Investment Bank FR0014003521 EUR 0%   28/04/2023 Echue
Mexica MXBIGO000Y59 MXN 0%   02/09/2027
Mexica MXBIGO000XE8 MXN 0%   18/03/2027
Mexica MXBIGO000X68 MXN 0%   21/01/2027
Natixis Structured Finance FR0014006NB2 EUR 0%   11/02/2032
E-Carat 10 FR0013444510 EUR 3.258%   25/12/2028
Swiss Credit FR0013443926 EUR 0.0725%   06/12/2029
Natixis Structured Finance FR0013459005 EUR 0%   12/11/2029
Swiss Credit FR0013451887 EUR 1.25%   08/01/2030 Echue
Natixis Structured Finance FR0013449774 EUR 0%   31/12/2029
Natixis Structured Finance FR0013449766 EUR 0%   31/12/2029
Natixis Structured Finance FR0013448099 EUR 0%   25/03/2022 Echue
Natixis Structured Finance FR0013305620 EUR 7.5%   27/02/2028
Natixis Structured Finance FR00140034B8 EUR 0%   06/08/2029
Natixis Structured Finance FR00140034A0 EUR 5%   29/04/2031
Natixis Structured Finance FR0014003497 EUR 5%   15/07/2031
Natixis Structured Finance FR00140033G9 EUR 0%   06/08/2029
Rexford Industrial Properties US76169XAB01 USD 0%   01/09/2031
Brasilien Föderative Republik BRSTNCLTN8M2 BRL 0%   31/03/2028
Natixis Structured Finance FR0014002Z33 EUR 0%   23/04/2031
Morgan Stanley Nederland FR0013461647 EUR 0%   16/03/2026
Morgan Stanley Nederland FR0013461621 EUR 0%   15/03/2027