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
Hong Kong Securities HK0001256632 HKD 1.91% 50 000 HKD 05/02/2027 100
Hong Kong Securities HK0001302741 EUR 3% 1 000 EUR 15/05/2034 100
Hong Kong Securities HK0001302733 HKD 3.95% 500 000 HKD 15/05/2056 100
Hong Kong Securities HK0001256640 HKD 2.91% 50 000 HKD 05/02/2033 100
Hong Kong Securities USY3422VDC91 USD 4.25% 200 000 USD 24/07/2027 100
Hong Kong Securities HK0001221289 HKD 2.3% 50 000 HKD 13/11/2026 100
Hong Kong Securities USY3422VCV81 USD 4.5%   11/01/2028 100
Hong Kong Securities HK0001088944 HKD 3.23%   05/12/2029 100
Hong Kong Securities HK0001101879 HKD 3.84%   16/01/2035 100
Hong Kong Securities HK0000963279 USD 4.625%   09/02/2026 Echue
Hong Kong Securities HK0001231783 CNY 1.6% 50 000 CNY 08/12/2026 100
Hong Kong Securities USY3422VCW64 USD 4.625%   10/01/2033 101.36
Hong Kong Securities USY3422VCY21 USD 4.25%   06/06/2026 Echue
Hong Kong Securities USY3422VDA36 USD 4%   07/06/2033 100
Hong Kong Securities USY3422VCX48 USD 5.25%   11/01/2053 100
Hong Kong Securities HK0001145942 CNY 1.71% 50 000 CNY 17/05/2027
Hong Kong Securities HK0001145967 CNY 2.29% 50 000 CNY 15/05/2035 100
Hong Kong Securities HK0001167730 HKD 3.17% 50 000 HKD 24/07/2035 100
Hong Kong Securities HK0001075198 CNY 2.13% 50 000 CNY 28/10/2027
Hong Kong Securities HK0001314407 CNY 1.78% 50 000 CNY 29/06/2033
Hong Kong Securities HK0001151049 HKD 3.85% 500 000 HKD 10/06/2055
Hong Kong Securities HK0001201901 EUR 2.5% 1 000 EUR 11/11/2029 100
Hong Kong Securities HK0000849734 HKD 3.3% 50 000 HKD 25/05/2042
Hong Kong Securities HK0001221313 CNY 1.71% 50 000 CNY 17/11/2027
Hong Kong Securities HK0001179099 CNY 1.54% 50 000 CNY 18/08/2027 100
Hong Kong Securities USY2836BBW38 USD 4% 200 000 USD 14/05/2031
Hong Kong Securities HK0001151031 CNY 2.7% 10 000 CNY 10/06/2055 100
Hong Kong Securities HK0001151015 EUR 3.125% 1 000 EUR 09/06/2033
Hong Kong Securities HK0000898822 HKD 3.74% 50 000 HKD 11/01/2038
Hong Kong Securities HK0001082517 CNY 2.46% 50 000 CNY 20/11/2034 100
Hong Kong Securities HK0001302667 HKD 2.53801% 50 000 HKD 14/05/2027 100
Hong Kong Securities HK0001088951 HKD 3.75% 50 000 HKD 05/12/2039 100
Hong Kong Securities HK0001088977 CNY 2.37% 50 000 CNY 10/12/2029 100
Hong Kong Securities HK0001151023 CNY 2.6% 10 000 CNY 10/06/2045
Hong Kong Securities HK0001145959 CNY 1.97% 50 000 CNY 15/05/2030
Hong Kong Securities HK0001086013 HKD 3.5% 10 000 HKD 17/12/2027
Hong Kong Securities HK0001031977 CNY 3.05% 10 000 CNY 24/07/2044 100
Hong Kong Securities HK0000951001 HKD 0% 10 000 HKD 12/10/2026
Hong Kong Securities HK0001302782 CNY 2.7% 10 000 CNY 14/05/2056
Hong Kong Securities HK0001082509 CNY 2.04% 50 000 CNY 18/11/2026
Hong Kong Securities HK0001302774 CNY 2.6% 10 000 CNY 14/05/2046 100
Hong Kong Securities HK0001167755 CNY 1.59% 50 000 CNY 28/07/2028

Hong Kong bonds are debt securities issued by Hong Kong entities, denominated in various currencies, and traded primarily on the Hong Kong Stock Exchange, offering investors exposure to the Hong Kong market.

Les Hong Kong Bonds sont des obligations libellées en dollars de Hong Kong émises par le gouvernement de Hong Kong ou des entités privées, offrant une exposition au marché obligataire de Hong Kong et généralement considérées comme une valeur refuge en Asie.

I Hong Kong Bonds sono obbligazioni emesse da enti governativi, aziende e istituzioni finanziarie di Hong Kong, negoziate principalmente in dollari di Hong Kong e in altre valute, offrendo una varietà di rendimenti e livelli di rischio.