Liste d'obligations internationales ( Toutes )
| 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.