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
Citigroup Inc XS2110105173 USD 4.5%   28/01/2029 100
Citigroup Inc US172967KW08 USD 0% 1 000 USD 02/08/2021 Echue
Citigroup Inc US172967KT78 USD 0% 1 000 USD 07/06/2019 Echue
Citigroup Inc XS1269336811 AUD 0% 1 000 AUD 07/08/2019 Echue
Citigroup Inc XS1403446724 AUD 0% 1 000 AUD 04/05/2021 Echue
CITIGROUP INC XS0443469316 EUR 7.375%   04/09/2019 Echue
CITIGROUP INC XS1389111284 USD 0%   23/09/2019 Echue
Citigroup Inc XS0354858564 EUR 6.4%   26/03/2013 Echue
Citigroup Inc US172967LL34 USD 0%   17/05/2024 Echue
Citigroup Inc US172967KX80 USD 0% 1 000 USD 01/09/2023 Echue
Citigroup Inc US172967KL43 USD 0% 1 000 USD 30/03/2021 Echue
Citigroup Inc US172967ET43 USD 0%   15/05/2018 Echue
Citigroup Inc XS0945403649 NOK 0.03%   25/06/2018 Echue
Citigroup Inc XS0355738799 GBP 0.07625%   03/04/2018 Echue
Citigroup Inc XS0168658853 GBP 0.0515% 1 000 GBP 21/05/2026 100
Citigroup Inc XS0101328432 GBP 0.0625%   02/09/2019 Echue
Citigroup Inc US172967JQ58 USD 0%   27/04/2018 Echue
Citigroup Inc US172967JV44 USD 0% 1 000 USD 30/07/2018 Echue
Citigroup Inc US172967LE90 USD 0% 1 000 USD 10/01/2020 Echue
Citigroup Inc US172967LH22 USD 0% 1 000 USD 25/04/2022 Echue
CITIGROUP INC XS0412491028 EUR 0%   03/04/2014 Echue
Citigroup Inc XS2536362622 EUR 4.112% 100 000 EUR 21/09/2033 100
Citigroup Inc XS1273436243 RON 3.27% 500 000 RON 13/07/2028 100
Citigroup Inc US172967PA33 USD 6.27% 1 000 USD 16/11/2033 100
Citigroup Inc XS2110093221 EUR 0.816% 100 000 EUR 27/07/2033 100
Citigroup Inc JP584119F593 JPY 2.65% 100 000 000 JPY 13/09/2035 100
Citigroup Inc XS0995098059 EUR 4.836% 1 000 EUR 09/01/2024 Echue
Citigroup Inc XS0866856122 USD 4.727% 10 000 USD 18/12/2022 Echue
Citigroup Inc US172967DD00 JPY 2.4%   30/10/2025 100
Citigroup Inc XS2110106817 EUR 2.5% 100 000 EUR 16/03/2044 100
Citigroup Inc US1730T0E211 USD 3.065% 1 000 USD 19/12/2033 100
CITIGROUP INC XS1980064833 EUR 1.25% 100 000 EUR 10/04/2029 100
CITIGROUP INC XS1068874970 EUR 2.375% 100 000 EUR 22/05/2024 Echue
CITIGROUP INC US172967HE47 USD 4.95%   07/11/2043 100
CITIGROUP INC US172967GL98 USD 3.375% 1 000 USD 01/03/2023 Echue
CITIGROUP INC US172967HD63 USD 3.875%   25/10/2023 Echue
CITIGROUP INC US172967MF56 USD 3.352% 1 000 USD 24/04/2025 100
CITIGROUP INC US172967GT25 USD 3.5%   15/05/2023 Echue
CITIGROUP INC US172967BL44 USD 6.625% 1 000 USD 15/06/2032 100
CITIGROUP INC US172967GK16 USD 4.05% 1 000 USD 30/07/2022 Echue
CITIGROUP INC US172967HA25 USD 6.675% 1 000 USD 12/09/2043 115.696
CITIGROUP INC US172967FX46 USD 5.875%   30/01/2042 105.23
CITIGROUP INC US17308CC539 USD 2.976% 1 000 USD 05/11/2030 92.265
CITIGROUP INC XS0233761138 JPY 2.4% 100 000 JPY 31/10/2025 100
CITIGROUP INC US172967DS78 USD 0% 100 000 USD 25/08/2036 100
CITIGROUP INC XS0116066449 GBP 6.5% 1 000 GBP 16/08/2030 100
CITIGROUP INC US172967DR95 USD 6.125% 100 000 USD 25/08/2036 100
CITIGROUP INC US172967HS33 USD 5.3%   05/05/2044 98.68
CITIGROUP INC US172967JC62 USD 4.3% 1 000 USD 20/11/2026 100
CITIGROUP INC XS0372391945 GBP 6.8% 50 000 GBP 24/06/2038 100
CITIGROUP INC XS0306605956 JPY 2.8% 100 000 JPY 25/06/2027 100
CITIGROUP INC US172967CC36 USD 6% 1 000 USD 31/10/2033 106.312
CITIGROUP INC XS0350626965 EUR 6.393% 50 000 EUR 06/03/2023 Echue
CITIGROUP INC XS1176671110 EUR 1.99% 100 000 EUR 28/01/2028 100
CITIGROUP INC XS0306606418 JPY 3.1% 100 000 JPY 25/06/2047 100
CITIGROUP INC US172967KY63 USD 3.2% 1 000 USD 21/10/2026 100
CITIGROUP INC XS0245936496 GBP 4.5%   03/03/2031 94.8
CITIGROUP INC XS0306606921 JPY 3% 100 000 JPY 26/06/2037 100
CITIGROUP INC XS0449155455 GBP 7.375%   31/08/2039 121.94
CITIGROUP INC US172967JU60 USD 4.65% 1 000 USD 29/07/2045 91.532
CITIGROUP INC US172967BU43 USD 5.875% 1 000 USD 22/02/2033 100
CITIGROUP INC US172967LD18 USD 3.887% 1 000 USD 10/01/2028 98.311
CITIGROUP INC US172967CT60 USD 5.85% 1 000 USD 11/12/2034 100
CITIGROUP INC XS0195612592 GBP 5.875% 1 000 GBP 01/07/2024 Echue
CITIGROUP INC US172967ME81 USD 3.98% 1 000 USD 20/03/2030 97.83
Citigroup Inc XS1273513769 EUR 1.36% 1 000 000 EUR 14/09/2036 100
Citigroup Inc JP584119E596 JPY 2.36% 100 000 000 JPY 15/09/2025 100
Citigroup Inc XS1242504717 USD 0% 1 000 000 USD 10/06/2045 100
Citigroup Inc XS1105457466 BRL 0% 10 000 BRL 24/09/2024 Echue
CITIGROUP INC XS0415136919 EUR 0%   06/05/2014 Echue
CITIGROUP INC XS0257598341 GBP 5.25%   14/06/2011 Echue
CITIGROUP INC XS1273442134 EUR 0%   11/03/2060 100
CITIGROUP INC US172967EP21 USD 6.875%   05/03/2038 117.482
Citigroup Inc XS1273449733 USD 2.05% 6 000 USD 19/12/2025 100
CITIGROUP INC XS1235277396 USD 5.1%   27/05/2025 100

La société ALLOCATION PASSIVE MONDE FUND a récemment obtenu le numéro LEI 969500I31T5J1KXH4D15
La société MADER SA a récemment obtenu le numéro LEI 9695001F1RXXAC35PP58
La société 417 FEET a récemment obtenu le numéro LEI 969500M2VJHVXD67OO58
La société SAVIO EDUCATION a récemment obtenu le numéro LEI 969500FRSRUBHHM8C715
La société NEOXAM PORTFOLIO MANAGEMENT a récemment obtenu le numéro LEI 969500BJRLTC6V7BNU10