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
Hessen-Thüringen Landesbank DE000HLB57B3 EUR 2.6%   01/12/2030
HSBC Global plc US404280FR58 USD 6.75%   Perpétuelle
Kazakstan KZKA00000199 KZT 0%   28/05/2026 Echue
Kazakstan KZKA00000454 KZT 0%   29/09/2030
Francia FR0129704203 EUR 0%   14/10/2026 100
Kazakstan KZKA00000264 KZT 0%   30/12/2028
Kazakstan KZKA00000470 KZT 0%   29/12/2031
Kazakstan KZKB00000040 KZT 0%   31/03/2031
DZ BANK AG XS3402831807 USD 3.85%   19/12/2027 100
Bank of Korea KR310101GE77 KRW 3.2%   02/07/2026 Echue
Space Exploration Technologies USU8531HAD27 USD 6.6%   15/07/2046 100
Kapital One Financial US14040HAZ82 USD 2.15%   23/03/2015 Echue
Air France KLM FR0014019F53 EUR 4.25%   30/06/2031 100
Hessen-Thüringen Landesbank DE000HEL0W44 EUR 3%   01/01/2030 99.25
Kingdom of Denmark XS3425713792 EUR 2.625%   29/06/2028 100.05
Achmea Bank N.V. XS3427413128 EUR 3%   29/06/2033 100
MBH Mortgage Bank Co Plc XS3426512086 EUR 3.458%   29/06/2032 100
Seuz SA FR0014019HT9 EUR 4%   29/06/2036 100
NRW Bank XS3426448992 USD 4.25%   28/06/2029 100
Mediobanca Luxembourg S.A. XS3405434674 EUR 0%   27/06/2034 100
PeopleCert Wisdom Issuer PLC XS3231911150 EUR 5.5%   14/06/2031 96.49
Arca FR00140182I0 EUR 3.25%   15/02/2032 100
Korea Real Estate Investment Trust Bonds KR6034832C20 KRW 3.892%   23/02/2024 Echue
Banco Desio Brianza Bond IT0005719288 EUR 3.125%   29/01/2032 100
KADES Bonds FR0014019HY9 EUR 3%   24/09/2030 100
TVL Financial PLC XS2845183495 EUR 0%   30/06/2030 100
France Énergie US268317AF12 USD 5.25%   Perpétuelle 100
CRH Group US12636YAB83 USD 4.4%   09/05/2047 100
Boots Group Finco L.P./The Boots Group Luxco S.a r.l XS3134602070 EUR 5.375%   29/08/2032 100
Preduzece za Telekomunikacije Telekom Srbija A.D XS3370282090 EUR 7.125%   17/05/2036 102.78
NatWest Global Markets N.V. XS3429326815 EUR 0%   29/06/2028 100
Business Integration Partners S.p.A XS2811098800 EUR 0%   29/05/2031 100
House of HR Group B.V XS2541618299 EUR 9%   02/11/2029 100
Bioenergiepark Küste Besitzgesellschaft mbH DE000A4DFCD3 EUR 7%   14/04/2030 97
Surgery Center Holdings Inc US86881WAF95 USD 7.25%   14/04/2032 100
La Doria S.p.A XS3109821051 EUR 0%   29/12/2030 100
Luminary & Wonder Global USU53914AB04 USD 6.25%   30/09/2033 99.11
Currenta Group Holdings S.à r.l XS3067389174 EUR 6.283%   16/05/2032 100
Miller Homes XS3047271872 EUR 6.533%   15/10/2030 100
Shift4 Payments XS3068793754 EUR 5.5%   15/05/2033 96.08
Milione S.P.A IT0005385924 EUR 1.72%   26/09/2031 100
Garfunkelux Holdco 4 S.A XS3075486152 EUR 0.02%   30/04/2030 100
Celsa Opco S.A XS3237210334 EUR 8.25%   14/12/2030 106.56
Nexture S.p.A XS3286235877 EUR 0%   29/07/2032 100.25
Kongsberg Gruppen AS Bonds NO0012928227 NOK 4.85%   31/05/2030 100
Norwegian Air Shuttle Bonds NO0010996457 NOK 0%   30/09/2026 100
UGI Global LLC XS3381703274 EUR 5%   31/05/2031 100
ScotiaBank XS3412551551 EUR 3.084%   16/06/2030 100.67
Aramarc XS3023482436 EUR 4.375%   14/04/2033 100
Clarion AG CH1494626349 CHF 2.2%   28/05/2034 102.46
MARYLAND BIDCO LIMITED XS2580869613 GBP 10%   26/01/2028 100
DEEPOCEAN XS3191557241 EUR 6%   07/04/2031 100
Kane Bidco Ltd XS3112620920 EUR 5.954%   14/07/2032 100
BCP Modular Finance II XS3108493167 EUR 6.5%   09/07/2031 100
Future PLC XS3106096335 GBP 6.75%   09/07/2030 100
Wolseley Group Finco PLC XS3075424989 GBP 9.75%   30/01/2031 100
Q-Park Holdings XS3262575320 EUR 3.875%   31/08/2031 98.7
HSE Finance XS3084270647 EUR 0%   14/04/2030 100
Contact Energy Bond NZCEND0090L6 NZD 5.67%   03/10/2054 100
HX HOLD Bonds NO0013465997 EUR 12.5%   12/08/2030 100
Wheel Bidco XS2364423652 GBP 9.875%   14/07/2026 90
Gasunie N.V. XS3386682952 EUR 3.75%   29/06/2037 99.53
Kedron S.p.A US49272YAB92 USD 6.5%   31/08/2029 100
Alexandrite Monnet UK Holdco PLC XS3350943018 EUR 6.875%   29/05/2031 100.34
Deuce FinCo XS3230567144 EUR 0%   19/11/2032 100.58
Olympus Aqua US Holding USU68195AG80 USD 7.25%   14/02/2033 98.63
Nexans Bonds FR001400OL29 EUR 4.25%   10/03/2030 101.44
Transcom Holding AB XS2351344622 EUR 7.651%   14/12/2026 92.27
Williamson Group US969457BR02 USD 8.75%   15/01/2020 Echue
DDM Debt AB [Publ] SE0023440672 EUR 9.5%   29/03/2027 100
Aragvi Finance International XS3367725754 USD 12.75%   25/05/2031 73
SIG Combibloc Purchase XS3314905046 EUR 4%   06/04/2031 101.07
National Bank of Ras Al-Khaimah (RAKBANK) XS2630917107 USD 5.8732%   09/09/2034 100.88
WP/AP Telecom Holdings IV XS2417092132 EUR 5.5%   14/01/2030 100.27
Alsea Bonds MX91AL2F00E3 MXN 11.03%   14/04/2036 100
NLC Corporation USG6436QAW62 USD 6.25%   14/09/2033 96.5
Williams Corporation US969457BA76 USD 7.5%   14/01/2031 100
SCILIVE XS2644942737 EUR 9.5%   14/07/2028 102.67
Altice France Group S.A. XS3196440674 EUR 4%   14/02/2028 100
Victoria Lux S.A. Bonds DE000A1943D1 EUR 5%   27/05/2029 0.01
Benteler Global AG XS3103603091 EUR 7.25%   14/06/2031 106.21
Standard Construction Solutions USU85912AA82 USD 5.875%   14/03/2034 96.09
EPHIOS SUBCO 3 XS2734938249 EUR 7.875%   29/01/2031 105.16
Market Bidco Finco XS3121788692 EUR 6.75%   30/01/2031 98.73
QUATTRIM S.A.S XS2770000326 EUR 8.5%   14/01/2027 100
Ithaca Energy (Mer du Nord) XS3186903756 EUR 5.5%   30/09/2031 102.65
Cidron Atrium SE XS3286656544 EUR 5.908%   14/02/2033 100
The Very Group Funding PLC XS3045494914 GBP 6.5%   31/05/2027 100
X3G Mergeco S.p.A XS3071308400 EUR 7%   14/05/2030 100
Cidron Aida Finco S.à r.l XS3046352319 EUR 7%   26/10/2031 100
United Holdings BV XS3367705640 EUR 6.375%   13/05/2033 101.82
Takko Luxembourg 2 S.C.A XS2666933549 EUR 5.375%   30/12/2049 100
Mauser Packaging Solutions USU5763HAE54 USD 7.875%   14/04/2030 100
Trinseo Luxco Finance SPV S.à r.l./Trinseo NA Finance SPV LLC USL9341JAB00 USD 7.625%   02/05/2029 100
CAB SELAS Santé XS3314073308 EUR 7.75%   09/08/2031 100
Maison Finco XS3299551500 GBP 7.25%   29/04/2032 100
Tullow Holdco 2 Ltd USG9131AAA19 USD 10.25%   14/11/2028 100
Intelligent Packaging USC47108AE23 USD 6%   15/09/2028 100
Clarius International USC25092AE43 USD 6.75%   15/09/2032 100