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
Magyar Kereskedelmi Bank Zrt. HU0000364187 HUF 6%   00/00/0000 Echue
ScotiaBank US0641598S88 USD 8.625%   27/10/2082
ScotiaBank US0641598V18 USD 8%   27/01/2084
Westminster National Bank LU0001547172 USD 0.5%   Perpétuelle 100
Gol Linhas Aéreas Inteligentes BBG01V2YNJC3 USD 14.375%   06/06/2030 100
Gol Linhas Aéreas Inteligentes BBG01V2XSS58 USD 14.375%   06/06/2030 100
Handelsbanken AB [publ] XS0074517680 USD 7.459%   00/00/0000 Echue
Vital Energy (US) Bond US516806AJ59 USD 9.75%   15/10/2030 103.514
DekaBank XS0198182767 EUR 0%   10/11/2015 Echue
AmeriGas LP USU03030AC49 USD 9.5%   01/06/2030 105.15
United States Bonds US912828QP82 USD 1.75%   31/05/2016 Echue
CPI Real Estate Group SA XS3099834676 EUR 7.5%   Perpétuelle 100
NewellCo USU6415RAE37 USD 8.5%   01/06/2028 105.625
Gol Linhas Aéreas Inteligentes USL4441RAL08 USD 14.375%   06/06/2030 100.5
Grupo Kwo USP4954BAF33 USD 5.75%   07/07/2027 99.3371
Excellence Logging Bond NO0013247635 USD 11.5%   05/06/2029 97
Transelek S.A. US89366LAA26 USD 4.625%   25/07/2023 Echue
Kyivresursbut Bonds UA4000179998 UAH 0%   01/01/2026 100
Hessen-Thüringen Landesbank DE000HLB4V05 EUR 2.25%   26/02/2029 100
National American Group (TX) US025676AR82 USD 7%   01/12/2055 102.25
Synovis Financial US87161CAG06 USD 5.125%   15/06/2017 Echue
FuturaSunn S.r.l IT0005417974 EUR 4%   30/07/2025 Echue
BHPB Finance Ltd US055451BL10 USD 5.3%   20/02/2035 102.44
Montreal Bank XS1064774778 EUR 1%   07/05/2019 Echue
Mastellone y Hermanos US57632PAV22 USD 10.95%   30/06/2026 100
Allen Media LLC/Allen Media Inc. US01771YAA82 USD 10.5%   14/02/2028 44.7188
Nederland NL0015002F72 EUR 0%   14/07/2035 96.59
Aotearoa NZGOVDT535C1 NZD 0%   14/05/2035 100.81
Japan International Cooperation Bank US471048CH97 USD 0.625%   21/05/2023 Echue
Zh?ngguó CND100099MP2 CNY 1.67%   24/05/2035 99.12
Transurban Financial Pty Ltd XS1681520786 EUR 1.75%   28/03/2028 98.02
Euro Investment Bank XS0664719779 SEK 3.5%   17/08/2031 104.28
Natixis Structured Issuance Notes FR0014007BR1 EUR 0%   11/03/2032 100
Quantum First Minerals USC3535CAS73 USD 7.25%   15/02/2034 101.25
AZ Bank DE000DFK0LA3 EUR 0.5%   17/08/2036 72.39
Sierre Receivables 2019-2A Bonds US82652MAD20 USD 4.54%   20/05/2036 100
Terex Corporation US880779AZ60 USD 5.625%   31/01/2025 Echue
Bellmeade Re 2018-3A Bonds US07877TAB70 USD 0%   25/10/2028 100
CIG Auto Receivables Trust 2019-1B Bonds US125504AD27 USD 4.85%   15/05/2026 100
Bellmeade Re 2018-3A Bonds US07877TAC53 USD 0%   25/10/2028 100
Peabody Resources US70457LAA26 USD 6%   31/03/2022 Echue
LPH Holdings US50212YAB02 USD 5.75%   15/09/2025 102.88
Homeward Opportunities Fund II Trust 2019-1 Bonds US43789EAE68 USD 4.8%   25/01/2059 100
OnMain Financial Issuance Trust 2015-1A Bonds US68268EAC75 USD 5.12%   18/03/2026 100
OneMain Financial Issuance Trust 2019-1A Bond US68267DAB29 USD 3.79%   14/02/2031 100
Invitation Homes Trust 2018-SFR2 Bonds US46185JAJ79 USD 0%   17/03/2037 100
Progressive Residential Trust 2018-SFR3 Bonds US74331MAE66 USD 4.873%   17/10/2035 100
Apidos CLO 2015-20A Obligations US03765LAX01 USD 0%   16/07/2031 100
Diamond Resorts Owner Trust 2019-1A Notes US252722AD58 USD 5.25%   20/02/2032 100
Cofina Class II Trust Bonds US19237JAA16 USD 0%   01/08/2047 100
Freddie Mac REMICS 2917 Bonds US31395LVZ11 USD 0%   15/01/2035 100
5AIF Junyper 2 2018-2 Bonds US33835FAA66 USD 5.45%   15/08/2022 Echue
Westlake Automobile Receivables Trust 2018-4 Bonds US96042GAN25 USD 4.9%   15/12/2023 Echue
CBIM CLO Management 2017-1A Bonds US12480VAG05 USD 0%   20/07/2030 100
WellCare Healthcare Plans Bonds US94946TAC09 USD 5.25%   01/04/2025 Echue
Cofina Class II Trust Bonds US19237JAB98 USD 0%   01/08/2054 100
Exetor Automobile Receivables Trust 2019-1A Bonds US30167DAD93 USD 4.13%   16/12/2024 Echue
CPS AutoTrust 2019-A Bonds US12596HAD98 USD 4.35%   16/12/2024 Echue
PNMAC GMSR Issuer Vehicle 2018-GT2 Bonds US69354WAD83 USD 0%   25/08/2023 Echue
Flagship Credit Auto Trust 2019-1 Notes US33844RAG65 USD 4.08%   18/02/2025 Echue
HanesBrands US410345AJ12 USD 4.625%   15/05/2024 Echue
Freddy Mac STACR 2018-HQA1 Bonds US3137G0UX55 USD 0%   25/09/2030 100
Standard Enterprises US120111BN87 USD 6%   15/10/2025 103.66
ATI Bounds US01741RAE27 USD 5.95%   15/01/2021 Echue
BCE Bond CA077906MW29 CAD 0%   15/12/2022 Echue
Civitas Holdings Inc. USU1638HAB34 USD 8.75%   30/06/2031 101.88
Elevate Health Inc US036752BD40 USD 5.2%   14/02/2035 100.84
Gruna S.A.B. de C.V. USP4948KAC91 USD 7.75%   Perpétuelle Echue
Indonesie IDG000020702 IDR 6.375%   14/08/2028 101.88
BorgWarner Inc. US099724AQ98 USD 5.4%   14/08/2034 101.77
Barings BCD US06759LAD55 USD 7%   14/02/2029 104.02
Federal Agricultural Credit Bank Bonds US31331J2U63 USD 2.5%   19/11/2018 Echue
MPLEX US55336VAU44 USD 6.875%   Perpétuelle 100
MPT Holdings LP XS2997159491 EUR 7%   14/02/2032 103.62
Interamerican Investment Corp. XS3113472842 EUR 2.75%   13/07/2032 99.5
UBS Group Debt CH1462229985 CNY 2.6%   11/08/2030 100
BNP Paribas SA US09659X2Y70 USD 5.786%   13/01/2033 100
SMBC Aviation Capitals USG82296AJ69 USD 5.7%   24/07/2033 100.28
Deutsch Bank New York US251526DB24 USD 4.95%   04/08/2031 100
Mizuho Holdings XS2997348037 EUR 3.295%   12/05/2033 99.52
Crédit Agricole SA CH1454185922 CHF 0.7075%   07/07/2032 100.15
CBIC US13607PVQ44 USD 5.245%   13/01/2031 102.913
Deutsch Bank New York US251526CY36 USD 5.403%   10/09/2035 100.29
CaixaBank XS2902578322 EUR 0%   18/09/2028 100.28
JPMorgan Chase US46647PEM41 USD 0%   22/07/2028 100.695
UBS Group Debt CH1454185898 USD 0%   26/06/2031 100
German Bank Bonds CH1380508411 CHF 2.0725%   17/09/2030 103.8
Danone Bonnds FR001400SHQ2 EUR 3.2%   11/09/2031 101.21
Bonds Australia AU0000345241 AUD 4.25%   21/12/2035 100
United Parcel Delivery US911312CH75 USD 4.65%   14/10/2030 101.8
Euro Investment Bank (EIB) Bonds AU3CB0307742 AUD 4.25%   19/03/2029 100
BPCe USF11494CB90 USD 6.508%   17/01/2035 105.3
Westpac Banking Bond AU3CB0309466 AUD 5.1%   14/05/2029 100
NatWest Markets Ltd USG6382RGG77 USD 0%   20/03/2030 99.95
Lloyds Bank Group XS2775724862 EUR 0%   04/03/2027 100.19
Coca-Cola Europacific Partner XS2905425612 EUR 3.25%   20/03/2032 100.56
Barclay PLC XS2931242569 EUR 3.941%   30/01/2036 101.03
Monitoba Bonds AU3CB0312734 AUD 4.85%   27/08/2034 99.64
CADESIA XS2900265559 USD 3.75%   11/09/2027 99.85