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
Agence Nationale des Organismes de Sécurité Sociale XS3083790199 GBP 0%   30/09/2025 Echue
ENI Energia S.p.A. XS3388188586 EUR 3.5%   25/05/2031 100
Enera XS3358330820 EUR 3.875%   25/05/2033 100
Hamburger Sparkasse GmbH DE000A460Q35 EUR 1.5%   01/02/2028
Belfius Banque SA BE0390317866 EUR 3.25%   26/05/2032
Austria Bond AT0000A3TF12 EUR 0%   26/08/2026
Samruk-Kazyna National Welfare Fund Bonds KZP02Y11D390 KZT 6%   13/03/2020 Echue
Enera XS3358330663 EUR 3.5%   25/05/2030 100
BBVA Consumer Auto 2026-1 Fondo de Titulización- ES0306039001 EUR 2.716%   24/02/2042 100
Addidas AG XS3388179676 EUR 3.5%   25/05/2031
ENI Energia S.p.A. XS3388189394 EUR 4%   25/05/2035 100
Endeavor Mining USG3R41AAB20 USD 7%   27/05/2030 101.86
LBBW XS1072249045 EUR 2.875%   26/05/2026 Echue
Unibail-Rodamco-Westfield Bonds FR0014016I12 EUR 3.875%   20/04/2033 99.79
Sachsen-Anhalt Region DE000A46ZYY5 EUR 2.875%   25/05/2028 100.34
Italia Bonds XS3358406075 EUR 4%   28/04/2038 100
Quarzos S.r.l. IT0005700262 EUR 2.889%   14/09/2043 100
EurBank SA XS3386670270 EUR 3.875%   24/05/2032 100.7
Yorkshire Homes Society XS2823336438 GBP 0%   23/05/2029 100.03
SPIE SAS Bonds FR0014018DI3 EUR 3.875%   17/05/2031 100
ICREA Bank IT0005708778 EUR 4.002%   06/05/2045 100
Francia FR0129570554 EUR 0%   02/09/2026 100
Lusitania PTPBT1GE0046 EUR 0%   20/05/2027 100
Luxembourg International Bank S.A. XS3373516973 EUR 0%   01/02/2028 100
Telekom International Finance B.V. US25156PBA03 USD 3.6%   18/01/2027 99.46
Arla Foods Amba XS3382815879 EUR 3.375%   21/05/2029 100
ARLA FOODS AMBA XS3382816091 EUR 3.875%   21/05/2033 100
Volva XS2947177650 SEK 2.377%   24/11/2026 100
KKR Group Capital XI XS2628485315 JPY 1.428%   24/05/2028 100
Santander Hipotecario 3 - Fondo de Activos ES0338093026 EUR 2.436%   17/01/2050 100
LBBW US5148X1Y150 USD 0%   31/10/2023 Echue
Scorpio Tankers Inc US80918TAF66 USD 1.75%   14/04/2031 109.87
Dortmunder Sparkasse DE000A46ZYW9 EUR 3.25%   19/05/2033 100
Novartys AG XS3366248279 EUR 3.1%   12/01/2032 100
Mercedes-Benz Konzern XS1218322672 GBP 2.375%   16/07/2018 Echue
Novartys AG XS3366248600 EUR 4%   12/05/2041 99.49
Novartys AG XS3366248519 EUR 3.5%   12/05/2035 99.62
ING Groep N.V. XS3384746106 EUR 3.615%   21/05/2041 100
Caisse Amortissement Dette Sociale XS3382816687 USD 4.25%   20/08/2029 100
Anglo-American Tobacco XS3374290412 EUR 3.375%   10/05/2029 99.8
BNP Paribas SA FR0014018263 EUR 2.461%   23/04/2028 100
Wiederaufbaubank DE000A5H27R1 EUR 3.62%   12/05/2036 100
Robert Bosch Bonds DE000A4EUSA2 EUR 4%   20/05/2036 100
Fineco Bank Bonds IT0005710139 EUR 3.738%   19/05/2032 100
Llyods Bank XS3364763212 EUR 3.25%   11/05/2033 100
Republic of Lithuania XS3381692725 EUR 3.625%   17/11/2033 100.09
Rosenkavalier 2008 Bonds DE000A460H85 EUR 0.55%   30/04/2060 100
Swisscom Financial B.V. XS3376380310 EUR 3.125%   19/05/2029 100
Danske Banken A/S XS3384668540 EUR 0%   18/05/2028 100
Raiffeisen Landesbank OÖ AG AT0000A3USD8 EUR 4.073%   21/05/2046 100
United Kingdom Gilts GB00BPSNBG80 GBP 1.25%   21/11/2054 79.11
FRANCE AGENCE LOCALE FR0014018K40 EUR 3.625%   19/09/2033 100
Swisscom Financial B.V. XS3376678721 EUR 3.625%   19/05/2035 98.82
Deutsch Bank AG XS1809928556 USD 5%   14/11/2023 Echue
Iberdrola Global B.V. XS3249724041 EUR 0%   04/03/2026 Echue
Belgium Kingdom BE0000368770 EUR 3.1%   21/08/2031 100.23
Cyprus Bank PLC XS3311171881 EUR 3.875%   19/05/2031 99.9
Arcadia NV XS3305934823 EUR 4%   19/05/2031 99.32
Caixa Geral de Depósitos, S.A. PTCGDMOM0035 EUR 3.625%   19/05/2032 100
Amadues XS3382738600 EUR 3.75%   19/05/2031 100.2
Intesa Sanpaolo SpA XS3384774066 EUR 3.019%   19/05/2032 100
Intesa Sanpaolo SpA XS3384765668 EUR 3.43%   19/05/2030 100
Huhtamäki Oyj XS3375218198 EUR 3.875%   19/05/2032 100
BWM XS3379782231 EUR 4%   18/05/2036 99.52
BWM XS3379782157 EUR 3.625%   18/05/2032 99.92
HPS Corporate Loan Fund US40440VBE48 USD 6.3%   18/08/2031 99.629
BWM XS3379782074 EUR 3.25%   18/05/2029 100.09
CRH France FR0014018FD9 EUR 3.125%   19/10/2031 99.79
Spain State XS3381701062 EUR 3.05%   30/10/2031 100.16
ING Groep N.V. XS3371718266 EUR 0%   11/05/2028 100
ING Groep N.V. XS3371718423 EUR 3.25%   11/05/2029 100
BNP Paribas SA US09659X2V32 USD 5.497%   19/05/2030 101.69
Wayfare Inc US94419NAD93 USD 7.125%   31/05/2034 99.8983
Synovis Bank US87164DXY11 USD 5.957%   14/01/2036 98.81
Mazoon Holdings LLC US57886LAA08 USD 5.2%   07/11/2027 99.204
Owens-Brockway Packaging US69073TAW36 USD 9.5%   01/06/2033 100
GapCo US364760AN86 USD 8.875%   14/05/2027 115.21
Vonovia AG XS3349838204 GBP 6.375%   17/05/2038 0.989
United Kingdom plc GB00BVP99897 GBP 5.25%   30/01/2041 0.9883
FreddieMac Bonds US3128X27D16 USD 4.1%   19/10/2009 Echue
Export Finance Australia US30220EAC49 USD 3.875%   22/10/2029 100
Custom Brands Inc. US587118AF73 USD 9%   31/01/2031 100
Banque de Bretagne S.A FR0000047797 EUR 7.5%   Perpétuelle 551.58
Pfizer Investment Enterprises US716973AF98 USD 5.11%   18/05/2043 94.43
?eská Sportovní AS XS3379780615 EUR 3.224%   18/05/2031 100.1
OP Corporate Banking XS3376355122 EUR 3.25%   15/05/2031 100
Paccar Finance Europe B.V. XS3375191486 EUR 3.125%   15/05/2029 100
Truist Corporation US89832QAK58 USD 6.25%   Perpétuelle 100
FreddieMac Bonds US3134GAUB89 USD 1.65%   22/11/2021 Echue
Nationale-Nederlanden Bank Bonds NL00150742Z9 EUR 3.125%   17/05/2033 98.87
Vegas Sands Corp US517834AR87 USD 5.3%   14/05/2031 98.69
Liberty Utilities Co US531542AC21 USD 5.1%   14/05/2031 99.502
Columbia Britannica US110709GQ96 USD 3.9%   27/08/2030 100
Avolon Holdings Finance US05401ABE01 USD 4.2%   15/04/2029 98.024
Santander Bank US05971KAX72 USD 4.6%   15/04/2029 100
Barclay PLC US06738EDJ10 USD 4.521%   24/02/2032 97.443
Benchmark Mortgage Trust 2025-V18 Bonds US08164EAC84 USD 5.18365%   18/10/2058 100
Cathay Pacific Peak Finance Ltd HK0001285805 HKD 3.78%   28/04/2029 100
ANZ Banking Group US05252BDJ52 USD 0%   17/01/2027 100