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
Deutsch Bank AG DE000A460DG7 EUR 6.75%   Perpétuelle 100.51
Badenia-Wuerttemberg Bank XS0110834552 EUR 2.453%   27/04/2030 98.33
Banca Sella Group S.p.A. IT0005707085 EUR 3.671%   27/04/2031
Caisse Nationale du Financement Local FR00140183Q1 EUR 4.08%   23/04/2046 100
BAWAGPSK AT0000A3UH82 EUR 3.578%   28/04/2042 100
Austria Bond AT0000A3TF04 EUR 0%   28/10/2026
Nexia Spa XS2332590475 EUR 2.125%   29/04/2029 96.34
Gotha DE000A168478 EUR 6%   29/10/2045 99.47
Caisse Nationale de Dépôts FR00140183Y5 EUR 3%   24/02/2031
HSBC Global plc US404280FM61 USD 5.279%   10/03/2037
Österreichische Kontrollbank AG XS3358410697 EUR 2.875%   28/04/2031
Telekom Deutschland AG XS3356130826 EUR 3.875%   27/04/2038
Telekom Deutschland XS3356130073 EUR 3.375%   27/04/2033
Santander Consumer Germany XS3329173317 EUR 3.34%   13/02/2042 100
Clariane SE XS3314100986 EUR 6.875%   14/04/2031
Vara Energi ASA XS3304274189 EUR 4.95%   28/04/2086
ADNEC XS2333388184 USD 2%   28/04/2028 95.04
SVB Financial Holdings US78486QAS03 USD 4.57%   28/04/2033 32.86
Deutsch Bank AG XS2105115476 USD 7.482%   19/12/2024 Echue
Zephyr Home Loans FR0013451945 EUR 0.5%   28/10/2060 97.8
Kvika banki hf Bonds IS0000026128 ISK 7.5%   25/08/2025 Echue
Sinochem Offshore Capital Company Ltd XS2249462529 USD 3%   Perpétuelle 100
Grand City Realty XS3362208079 EUR 5.25%   Perpétuelle 100
Nordrhein-Westfalen XS3353891669 GBP 4.25%   15/10/2029 100
Marzio Finance IT0005700817 EUR 0%   31/12/2050 100
Caffil FR00140182G4 EUR 3.25%   23/11/2032 99.32
INDIGO Group Bonds FR0014017MC9 EUR 3.75%   24/04/2032 100
Stadtsparkasse Düsseldorf DE000A383WM9 EUR 2.75%   02/01/2033 97.2
Stadtsparkasse Dusseldorf Bank DE000A383WL1 EUR 2.5%   01/01/2031 97.85
Stadtsparkasse Düsseldorf DE000A383WK3 EUR 2.125%   01/01/2029 98.4
Argan S.A FR0014017JX1 EUR 3.779%   29/10/2029 99.93
SGL Groupe DE000A30VKB5 EUR 5.75%   20/09/2027 98.96
Peach Properties Group AG CH0417376040 CHF 1.75%   Perpétuelle 100
Bertrand Franchise Finance XS2831585786 EUR 6.5%   18/07/2030 100
Banijay Studios XS2690055996 EUR 7%   01/05/2029 102.56
GoCollective Holding A/S NO0013185835 EUR 0%   11/04/2027 101.6
JadeHawk Capital S.a r.l DE000A3KWK17 EUR 7%   02/08/2027 96
ProCredit Holding AG DE000A383C84 EUR 9.5%   24/07/2034 111.71
HomeToGo SE NO0013697268 EUR 0%   09/03/2031 97.75
QuickTop HoldCo AB NO0013505826 EUR 0%   20/03/2030 102.65
HSBC US Bonds US40433UUD61 USD 0%   30/09/2021 Echue
ENERGO-PLUS a.s XS3063695715 EUR 8%   26/05/2030 103.97
Geveko Holding AB SE0024172993 EUR 0%   26/12/2028 100.45
EPH Group AG DE000A3L7AM8 EUR 10%   23/02/2032 97.05
Fertiberia Corporate S.L.U NO0013219477 EUR 0%   07/05/2028 100.49
EPH Group AG DE000A3LJCB4 EUR 10%   16/07/2030 95.46
Axis Securitisation CH1482385429 EUR 6.5%   17/10/2027 100
Hessen-Thüringen Landesbank DE000HLB3Q03 EUR 0.816%   26/04/2033 100.6
ScotiaBank US0641598V18 USD 8%   26/01/2084 105.27
CBIC XS1121257445 EUR 0.375%   15/10/2019 Echue
Verbunden AG XS3339795786 EUR 3.375%   21/04/2033 100
Francia FR0129570539 EUR 0%   05/08/2026 100
Sächsische Aufbaubank - Förderbank - DE000A351Z10 EUR 2.682%   23/04/2028 100
Van Lanschot Kempen XS3344497931 EUR 2.875%   22/04/2029 100
Calvert Impact Capital Bonds US13161GTK84 USD 2%   16/05/2022 Echue
Toyota Financial Services Netherlands XS3349981426 EUR 3.25%   23/04/2030 100
PKO Bank Nieruchomo?ci S.A. XS3346849113 EUR 3.125%   21/04/2031 99.78
Québec Province XS3353682589 EUR 3.875%   23/04/2041 100
BNG Bank NV XS3351031656 EUR 3.692%   22/04/2046 100
Crédit Agricole SA FR0013192762 EUR 2.3%   23/10/2026 99.35
Mondial Assurances FR0013455854 EUR 4.375%   Perpétuelle 98.9
Møre Boligkreditt AS XS3349884653 EUR 3%   20/04/2031 100
SpecMortgage Bank PLC XS3346962510 EUR 3%   21/10/2029 100
Maltese Bonds MT3300011322 EUR 0%   21/01/2027 100
DHB Verwaltungs AG DE000DUS10Y8 EUR 4.08%   07/12/2023 Echue
Cyprum CY0241440813 EUR 0%   24/07/2026 100
TDC Brands A/S XS3358347634 EUR 8%   29/04/2031 100
ASN Bank XS3346850392 EUR 2.963%   21/04/2030 100
DNB Boliglån A.S XS3338901781 USD 4.235%   15/04/2031 100
Japan International Cooperation Bank XS3334208058 EUR 3.125%   22/04/2031 100
BBVA Global Financials XS2190719141 USD 3.45%   09/01/2026 Echue
FreddieMac Bonds US3134GBRA27 USD 1.5%   27/06/2022 Echue
Maltese Bonds MT3100018485 EUR 0%   23/07/2026 100
Graecia GR0002287564 EUR 0%   22/10/2026 100
RCI Bank Obligations FR0014017Y03 EUR 3.625%   21/02/2030 100
NORDLB Obligations DE000NLB53K1 EUR 2.45%   24/04/2029 100
NORDLB Obligations DE000NLB53L9 EUR 2.55%   23/04/2030 100
DSB XS3351033785 EUR 3.625%   21/04/2036 100
NORDLB Obligations DE000NLB53M7 EUR 2.65%   24/04/2031 100
Badenia-Wuerttemberg Bank DE000LB13L97 EUR 0.5%   23/03/2030 89.23
Selp Finance XS3310387256 EUR 3.875%   20/04/2031 100.17
Vonovia AG XS3344378339 EUR 0%   19/04/2028 100.08
Vier Gas Transport AG XS3343287838 EUR 3.5%   20/10/2030 99.76
Aktia Bank Ltd XS3344465813 EUR 0%   19/04/2028 100
BNP Paribas SA USF1067PAK24 USD 7.2%   Perpétuelle 100.61
Aurum Bar Securitisation Bonds IT0005697732 EUR 0%   20/12/2045 100
Elis Bonds FR0014016ZV3 EUR 3.875%   22/03/2032 99.81
Euro Union Bonds EU000A4ES497 EUR 4%   11/10/2046 99.63
Dreyfus Louis Corporation XS3349815418 EUR 4%   20/04/2033 99.63
Softbank Corporation XS3344488864 USD 8.25%   22/10/2031 100
Softbank Corporation XS3344489326 EUR 6.375%   22/04/2030 100
Rosnefte US77819RAA77 USD 4.199%   06/03/2022 Echue
Slovenija SI0002504270 EUR 0%   08/10/2026 100
Eurazeo Bonds FR0014017VR8 EUR 4.625%   16/04/2031 100.69
Intesa San Paolo XS3343245919 EUR 3.48%   14/04/2030 100
Japan International Cooperation Bank XS3352075058 EUR 4.25%   21/04/2031 100.38
Rabbobank XS3349988942 EUR 3.987%   16/04/2056 100
Brazillian Bonds XS3344411726 EUR 5.5%   23/04/2036 100
Italia Bonds IT0005706285 EUR 3.8%   30/06/2036 99.8