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
HSBC Global plc US404280FG93 USD 5.133%   06/11/2036
Thai Airways International Bonds TH0245B31501 THB 2.65%   03/05/2021 Echue
Canadian Imperial Bank US78012KWB96 USD 0%   04/01/2022 Echue
Petromex US706451BP55 USD 0%   15/09/2027 100
Thai Bonds TH062303P607 THB 0%   16/06/2045 110.17
Kuwait Bonds XS3190721871 USD 4.652%   08/10/2035 100
Zambya Bonds ZM1000007147 ZMW 16.55%   23/06/2030 100
Seplat Energy Corp XS3030248325 USD 9.125%   20/03/2030 100
Gabunische Republik XS3000946437 USD 9.5%   17/02/2029 100
Sino Bonds USY5325QAJ14 USD 3.75%   13/11/2030 100
Trinidad and Tobago Bonds USP93960AJ47 USD 5.95%   14/01/2031 100
Dominican Republic Treasury USP3579ECZ80 USD 5.875%   28/10/2035 100
Bahamas Bonds USP06518AL18 USD 8.25%   24/06/2036 100
Koreana KR103503GF38 KRW 2.625%   09/03/2030 100
Koreana KR103502GDC6 KRW 4.125%   09/12/2033 100
Malaysian Bonds MYBMI2500011 MYR 3.336%   14/05/2030 100.43
Thai Bonds TH0623038401 THB 0%   16/04/2028 101.6
Bravo Energia USL9R621AA97 USD 9.75%   05/02/2031 103.1
Indonesian Bonds IDG000024605 IDR 6.5%   14/07/2030 103.88
Singapore Bonds SGXF25686589 SGD 2.75%   28/02/2035 107.59
Czech Republic Bonds CZ0001007496 CZK 4.25%   23/10/2034 98.1
Kenya Bonds XS3196129632 USD 8.8%   08/10/2038 95.68
EDO Gas Spc XS2689095086 USD 5.875%   20/09/2033 106.06
GuateBonds USP5015VAU00 USD 6.25%   14/08/2036 103.99
Thai Bonds TH0623B3E601 THB 0%   16/06/2034 108.51
Summer [BC] Holdco B S.a.r.l XS2998755982 EUR 0%   14/02/2030 95.98
Avalon Holdings Funding Ltd US05401AAV35 USD 5.75%   14/11/2029 104.1
Banco Crédito Perú US05971V2E48 USD 5.85%   11/01/2029 104.54
Meritz Capital Bonds KR6169376B50 KRW 1.552%   24/11/2023 Echue
Banco Crédito Inversiones US05890PAC05 USD 8.75%   Perpétuelle 107.3
BPCe US056121AA46 USD 5.389%   27/05/2031 100
Elevate Health US036752BK82 USD 5%   14/01/2036 98.89
Woori Financial USY9700WAB29 USD 6.375%   Perpétuelle 104.875
United States Bonds US912810UN62 USD 4.875%   14/08/2045 102.59
Transportadora de Gas del Sur USP9308RBA07 USD 8.5%   24/07/2031 104.7
CDW Capital US12513GBK40 USD 5.1%   28/02/2030 101.723
PTT Global Chemical USY3004DAE41 USD 7.125%   Perpétuelle 100
Global CNO Funding US18977W2C32 USD 2.65%   05/01/2029 94.899
Turkcell Telekom XS2981975613 USD 7.65%   23/01/2032 100
YPX USP989MJBY67 USD 8.25%   16/01/2034 100
Rocket Companies Inc USU7507WAC39 USD 6.5%   31/07/2029 103.49
Intrum Investments and Financing XS3099990296 EUR 7.75%   10/09/2028 100
Telekom Serbia XS2921374273 USD 7%   27/10/2029 100
Primo Water Holdings Inc USU73910AB48 USD 4.375%   29/04/2029 97.125
Nidia Health Holding XS3067483431 EUR 0%   22/10/2030 101.23
Currenta Group Holdings S.à r.l XS3067385420 EUR 5.5%   14/05/2030 100
Brighthouse Financial Global Funding US10921U2L15 USD 5.65%   10/06/2029 102.587
CableLink Inc. US12685JAG04 USD 1.125%   14/03/2028 85.5
Home Group US04650YAC49 USD 0%   12/05/2028 100
Belrose Funding Trust II Bonds US08079KAA25 USD 6.792%   15/05/2055 105.03
Ascot Group Ltd US04365XAB47 USD 6.349%   14/06/2035 104.682
Avianca Midco 2 PLC US05369YAC30 USD 9%   30/11/2028 100
County of Arlington Bonds US041431RA77 USD 5%   15/08/2026 100
ArqivaTech XS3108489645 GBP 8.625%   30/06/2030 100
Pennsylvania Bonds US70914PE577 USD 5%   15/09/2029 100
Parsons Global US70202LAD47 USD 2.625%   28/02/2029 111.796
Digicel Global Finance USG2800MAA02 USD 8.625%   31/07/2032 100
GA Global Finance Trust US36143L2L80 USD 5.5%   08/01/2029 100
EF Holdings US31574BAA44 USD 7.375%   30/09/2030 100.477
FR RA6359 Bonds US3133KNB449 USD 2.5%   01/12/2051 100
OHA Credit Funding 21 Ltd./OHA Credit Funding 21 LLC US67707KAA88 USD 0%   19/10/2038 100
Wynn Macao USG98149AM28 USD 6.75%   15/02/2034 100.747
Mosambik Republik XS1391003446 USD 10.5%   17/01/2023 Echue
AerCap Hibernia Capital US00774MBQ78 USD 6.5%   31/01/2056 103.02
Post Bonds FR001400WJI7 EUR 5%   Perpétuelle 104.15
Germania DE000BU2Z031 EUR 2.6%   15/08/2034 100
SGL Carbon Bonds DE000A351SD3 EUR 5.75%   27/06/2028 100
Nestle S.A. Notes CH1344316778 CHF 1.75%   29/05/2040 108.1
Nestlé S.A CH1344316745 CHF 1.375%   29/11/2028 100
Wolf Midstream Bonds CA977734AB84 CAD 6.4%   18/07/2029 100
Lincoln Financial Global Funding US53359KAC53 USD 4.625%   18/08/2030 100.466
Klabin Bonds BRKLBNDBS087 BRL 6.05%   15/08/2039 100
Altice Telecom US02090DAE85 USD 6.875%   15/06/2032 97.125
Aimco 2021-15 Bonds US00889BAE11 USD 0%   17/04/2038 100
Sabre Global USU86043AJ26 USD 10.75%   15/11/2029 94
INPOST XS3176794595 EUR 4%   31/03/2031 100.68
NMMC US63890CAB00 USD 6.95%   17/10/2031 107.5
Ares Strategic Yield Fund US04020EAK38 USD 5.8%   09/09/2030 100.796
Blackstone Secured Credit Fund US09261XAK81 USD 5.3%   29/06/2030 99.76
Altice Telecom US02090DAD03 USD 6.5%   15/03/2032 96.52
EnerG US629377DA71 USD 4.734%   14/10/2030 99.63
NLC Corporation US62886HBY62 USD 5.875%   15/01/2031 98.75
Altice Telecom US02090DAA63 USD 9.5%   01/11/2029 102.688
Carrefour Bonds FR001400SID8 EUR 3.625%   16/10/2032 100
Vedanta Holdings USG9T27HAK06 USD 9.85%   24/04/2033 101.556
Energuate Trust USG3040LAB83 USD 6.35%   15/09/2035 99.9
1375209 BC LTD USC6887TAA63 USD 9%   30/01/2028 99.8
Xeroxx US98423RAA14 USD 13.5%   15/04/2031 103.375
Unilever Ventures US904764BV84 USD 4.625%   12/08/2034 100.693
SK Hynx US78392BAJ61 USD 4.25%   11/09/2028 99.906
EnerG US629377DD11 USD 6%   15/01/2036 100.75
National Mortgage Association US36179XVS25 USD 5%   28/02/2053 100
American National Global Funding US02771D2B95 USD 5.25%   02/06/2030 100
Stellantis Finance US US85855CAE03 USD 6.375%   11/09/2032 104.68
BX Commercial Mortgage Trust 2024-KING US05612RAC34 USD 7.07%   14/05/2034 100
Blue Owl Finance US09581JAR77 USD 3.125%   10/06/2031 100
The Bidvest Group (UK) PLC XS3179720167 USD 6.2%   16/09/2032 100
Apollo Asset Management US03769MAC01 USD 5.8%   20/05/2054 100
Kroger Corporation US501044DU22 USD 4.9%   14/09/2031 100.9