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
Secure International Finance Company US81373LAA08 USD 10%   03/06/2029 100
Santa Fe Province of.. US74409AAE91 USD 8.1%   10/12/2034 100
State of Kuwait US501499AF40 USD 4.652%   08/10/2035 100
EDO Sukuk Inc. US28135J2A42 USD 5.875%   20/09/2033 105.8
Dominican Republic Treasury US25714PFF09 USD 5.875%   28/10/2035 100
Sri Lanka Bonds XS2966242336 USD 3.6%   15/06/2035 81.93
Kenia US491798AQ72 USD 8.8%   08/10/2038 100
IRSA Inversiones y Representaciónes S.A US450047AJ43 USD 8%   29/03/2035 101.1
Jordanien Haschemitisches Königreich US418097AP66 USD 5.75%   11/11/2032 100
Badenia-Wuerttemberg Bank DE000LB2ZS98 EUR 1.25%   16/02/2031 91.12
Goldman Sachs & Co. XS3299472467 EUR 4.142%   16/02/2039 100.74
Buenos Aires Ciudad US11943HAD17 USD 7.8%   25/11/2033 102.95
Barbuda US067070AK83 USD 8%   25/06/2035 100
Ameripan Energy S.L. [Argentine Branch] US69784DAE85 USD 7.75%   14/01/2037 100.1
Nigeriana US65412AFF49 USD 8.6308%   12/01/2036 100
Romannia US77586RAQ39 USD 6.625%   16/02/2028 104.55
Secure International Finance Company USP8564LAA54 USD 10%   03/06/2029 100
Zorlu Enerji Elektrik US98977LAA44 USD 11%   23/04/2030 93.2559
Zh?ngguó US60367QAF00 USD 3.75%   12/11/2030 100
DSMI XS3300916064 EUR 3.75%   25/02/2038 100
HeinekenN XS3302912061 EUR 3.875%   26/02/2038 100
Turkiye US900123CP36 USD 5.125%   16/02/2028 100.88
Southern Africa US836205BJ24 USD 7.25%   10/12/2055 100
Polish Bonds PL0000118188 PLN 5%   24/10/2035 100
Chaitanya India Fin Credit Bonds INE140R07058 INR 12.4%   29/06/2022 Echue
DVB Finanz XS1514836409 USD 0%   08/11/2021 Echue
Colombian Bonds COL17CT04001 COP 12.75%   27/11/2040 101.09
DSMI XS3300918359 EUR 3%   25/02/2031 100
Congo republic XS3295059367 USD 9.5%   16/02/2035 91.31
Guatemala Republik US401494BA67 USD 6.25%   14/08/2036 100
United American States US91282CPS43 USD 3.375%   30/12/2027 99.84
Romannia XS2571922884 USD 6.625%   16/02/2028 104.38
Turkey Bond US900123DS65 USD 6.8%   03/11/2036 101.23
Colombian Bonds COL17CT03995 COP 11%   21/08/2029 99.45
Laos Bonds US51656QAD43 USD 11.25%   09/10/2035 100
Deutsch Bank AG XS0884802363 AUD 0%   05/02/2043 100
Bayern Landesbank DE000BYL0HK8 EUR 2.875%   22/10/2030 100.18
UBS Group Debt CH1522231294 AUD 0%   Perpétuelle 100
Goldman Sachs Global Bonds SE0013408044 SEK 0%   12/02/2026 Echue
Nova Capital Lux SA XS1891205087 EUR 0%   15/05/2028 100
Hyosung Capital the 27th Securitization Specialty Bonds KR63425879B0 KRW 1.869%   18/09/2020 Echue
United American States US912797RT68 USD 0%   12/02/2026 Echue
ZF Euro Finance B.V. XS3296386264 EUR 5.5%   16/02/2032 99.62
Norwa NO0013713123 NOK 4.125%   02/06/2036 98.7
Itaú Unibanco Holding S.A. US46556W2E95 USD 6%   26/02/2030 103.88
Hellenic National Bank XS3290846040 EUR 5.8%   Perpétuelle 100.03
Woodfield Financial Ltd USQ98236AC80 USD 3.7%   14/09/2026 98.89
Santander UK Holdings PLC XS3295829140 EUR 2.956%   15/02/2030 100
ING Group N.V. XS3291116955 EUR 3.125%   09/02/2032 99.74
Santander UK Holdings PLC XS3295826559 EUR 3.649%   15/02/2034 100
AlphaBanque S.A XS3292029769 EUR 3.5%   09/02/2033 100.2
Pepsicoa XS3291116369 EUR 0%   10/02/2028 100.01
AdR S.p.A. XS3296851796 EUR 3.625%   16/02/2034 100
Sumitomo Mitsui Financial Corp XS3272215743 EUR 2.875%   15/02/2031 100.33
Crescent Capital BDC Bonds US01374TAF93 USD 6.75%   15/04/2022 Echue
Mizuh? Financial Group Inc. XS3293638568 EUR 3.21%   15/05/2032 100
Nordia Bank Abp XS3286679835 EUR 3.125%   03/02/2033 99.88
IBN XS2115091717 EUR 0.3%   10/02/2028 95.86
Crédit Agricole SA FR0014015QG5 EUR 3.875%   15/02/2038 99.43
Nextera Energy Holdings Inc XS3289873419 EUR 3.624%   09/02/2034 100.81
Infineon Tech XS3296963674 EUR 3.75%   15/02/2037 99.75
Lucerne Kantonalbank Obligations CH0031847566 CHF 3.375%   05/07/2019 Echue
Crédit Agricole SA FR00140167W2 EUR 2.875%   15/02/2030 100.03
Acquirere Unica S.p.A. XS3289609151 EUR 3.5%   10/02/2033 99.67
Volva Treasury AB XS3295034022 EUR 3.25%   10/02/2033 100.18
Skandinaviska Privata Banken AB XS3289620042 NOK 3.375%   09/02/2033 100.15
Infineon Tech XS3296961975 EUR 3%   15/02/2031 99.76
Grencke XS3285384403 EUR 3.875%   08/01/2031 100.24
RaiffeisenBank XS3295137932 EUR 3.5%   15/02/2034 99.1
PepsicoCorp XS3291117417 EUR 3.3%   10/02/2034 100.12
Balder Fastigheter AB XS3293803279 EUR 3.625%   24/08/2031 99.72
KPN Telecom XS3285779255 EUR 3.5%   11/05/2034 99.89
Aktia Bank Ltd XS3291934209 EUR 2.875%   15/02/2033 99.78
Wiederaufbaukreditanstalt DE000A460C64 EUR 2.8%   16/11/2034 100.15
EnBW Energie BW XS3286678191 EUR 0%   09/02/2056 99.28
Infineon Tech XS3296963591 EUR 3.5%   15/02/2034 100.01
TransDygm US893647BU00 USD 6.375%   01/03/2029 102.822
Handelsbanken AB [publ] XS3291939778 EUR 3.125%   15/02/2033 99.84
PepsicoCorp XS3291117680 EUR 3.7%   10/02/2038 100.32
Banco BPM SpA IT0005695454 EUR 3%   15/02/2031 100
Danske Banken A/S XS3295888237 EUR 2.5%   12/02/2030 100
Danske Banken A/S XS3296428017 EUR 2.875%   12/02/2034 100
Handelsbanken Sverige XS3295023173 EUR 0%   15/02/2029 99.98
PepsicoCorp XS3291118068 EUR 4.15%   10/02/2047 99.8
OTP Jelzálogbank Részvénytársaság XS3282211286 EUR 3.161%   30/05/2032 100.37
Lloyds Bank Group XS3289964648 EUR 0%   11/02/2030 100.08
Intesa San Paolo XS3298383319 EUR 5.875%   Perpétuelle 100
Intesa San Paolo XS3298382931 EUR 5.5%   Perpétuelle 100
Emirates National Bank XS3296967667 EUR 3.236%   13/02/2031 100
Ren Finance XS3296399085 EUR 3.375%   18/02/2034 100
Santander Britain XS3295866779 EUR 2.375%   12/05/2029 100
Santander Britain XS3295866183 EUR 2.875%   12/02/2033 100
Tatra Banka Bonds SK4000028809 EUR 2.75%   09/02/2031 100
Depositi e Prestiti (DEP) Bonds IT0005695553 EUR 3.375%   16/02/2034 100
NHPC Bonds INE848E07153 INR 9.25%   12/03/2026 100
Bank of Aland Bonds FI4000598958 EUR 2.75%   17/04/2031 100
European Stability Instrument Bonds EU000A1Z99Y1 EUR 3%   25/02/2036 100
?eská Sporitelna, a.s. XS3293838812 EUR 3.657%   10/02/2033 100.18
BCE Bond CA077906ZV09 CAD 0%   23/02/2031 100