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
Canadian Imperial Bank US78016FLX05 USD 0%   01/07/2027
ING Groep XS3364644479 EUR 3.486%   07/05/2036 100
ING Groep XS3364644396 EUR 3.304%   07/05/2033 100
UruBonds US917288AT96 USD 7.875%   25/03/2014 Echue
Cassa Di Risparmio Di Bolzano Spa Bonds IT0005697872 EUR 3.875%   10/03/2032 100
TitriSocram 2026 FR0014017FT7 EUR 2.658%   25/04/2049 100
Germânia DE000BU0E410 EUR 0%   11/05/2027 100
SEBCO XS3367253567 EUR 3.375%   06/05/2031
Lansförsäkringar Banken XS3366141128 EUR 3.375%   05/05/2031
CASSA RISPARMIO BOLZANO S.p.A. IT0005661282 EUR 4.375%   23/07/2031 100
DEXIAX XS3364790611 EUR 3.25%   06/05/2031
AMRO ABN XS3248241971 GBP 4.625%   07/11/2030 97.49
Tronix USU8969QAD35 USD 9.125%   30/09/2030 100
Cassa Di Risparmio Di Bolzano Spa Bonds IT0005669202 EUR 2.7%   30/09/2028 100
AlphaBanque S.A XS3357187809 EUR 3.75%   05/05/2032 100
Volvo Treasure XS3364827983 EUR 3.125%   05/05/2029 100
Goldman Sachs Financial Corp. International Ltd XS2769630158 USD 3.6%   06/05/2027 98.09
Alticorp XS3161792232 EUR 12.875%   31/10/2029 100
Alticorp XS3161793123 EUR 5.265%   14/06/2032 95.44
Sanofy SA FR0014016SU0 EUR 3%   04/05/2029 100.02
Sanofy SA FR0014016SX4 EUR 3.75%   04/05/2037 99.88
Communauté Francophone Belge BE6359838339 EUR 0%   06/02/2028 100
Alticorp XS3161793040 EUR 5.375%   14/03/2032 100
FreddieMac Bonds US3128X6QD12 USD 5%   24/10/2012 Echue
Kingdom of the Netherlands NL00150742K1 EUR 0%   28/10/2026 98.93
Sanofi Bondz FR0014016SW6 EUR 3.375%   04/05/2033 99.92
Mortymer BTL 2021-1 PLC XS2349426895 GBP 4.463%   22/06/2053 100
Mazoon Holdings LLC US57886LAA08 USD 5.2%   07/11/2027 99.204
AbbVie Inc. US00287YAM12 USD 4.4%   05/11/2042 88.08
Baden-Württemberg Förderbank XS3358410184 USD 0%   29/04/2030 100
Nihon Expressway Finance Bonds JP370620CH87 JPY 1.06%   31/08/2057 100
Annapurna Finance Bonds INE515Q07269 INR 9.683%   12/07/2024 Echue
Telecom Italia Spa XS3194057553 EUR 3.625%   29/09/2030 99.39
Meta Platforms Inc. US30303MAJ18 USD 6.2%   15/05/2046 100.48
The Trafford Centre Finance Ltd XS0222488396 GBP 4.589%   27/07/2038 100
LACE FUNDING 2025-1 XS2982091360 GBP 4.394%   21/11/2074 100
Nordia Bank Abp XS3357292930 EUR 3.25%   28/04/2031 99.98
Banco Comercial Português Obrigações PTBCPNOM0043 EUR 3.25%   04/05/2032 97.78
Rabbobank XS3362317524 EUR 3.805%   02/05/2056 100
Saskatchewan Province XS3329285541 EUR 3.65%   07/04/2041 98.38
Sunrise SPV 98 S.r.l IT0005697278 EUR 2.619%   26/04/2051 100
Francia FR0129570596 EUR 0%   18/11/2026 100
Santander Consumo 10 Bonds ES0306018013 EUR 0%   22/05/2041 100
Santander Consumo 10 Bonds ES0306018005 EUR 2.799%   22/05/2041 100
Hep solar projects GmbH DE000A351488 EUR 8%   21/11/2028 72.26
UCB Société Anonyme BE0002976570 EUR 5.2%   20/11/2029 104.22
Metalsa Industries USP6638MAB74 USD 3.75%   03/05/2031 87.5
Pizzaexpress Financing 1 XS1028948047 GBP 8.625%   01/08/2022 Echue
1261229 B.C. Ltd USC6900QAA51 USD 10%   14/04/2032 103.38
Bausch Health Group US071734AC18 USD 5.75%   14/08/2027 99.9
Kazakh National Bond Bank KZW1KY013266 KZT 0%   12/07/2019 Echue
Hitachi Ltd JP378860ADC5 JPY 0.289%   13/12/2018 Echue
Banca di Asti Bonds IT0005566465 EUR 0%   10/10/2027 100
Barclays Bank PLC GB00B8SVVM91 GBP 3.05%   23/10/2025 Echue
AtkinsRealis Group Bonds CA78460TAE51 CAD 3.235%   02/03/2023 Echue
Nippon Paper Industries Bonds JP372160AH73 JPY 0.49%   23/07/2027 100
Barclay PLC XS2173837498 EUR 0%   02/10/2025 Echue
Nippon Paper Industries Bonds JP375430AAC6 JPY 1.495%   09/12/2020 Echue
Barclay PLC XS1931305269 USD 0%   11/04/2024 Echue
BNP Paribas SA XS2759182020 EUR 51.5%   05/07/2029 100
Barclay PLC XS2033416798 USD 0%   22/11/2024 Echue
Pactiv Evergreen US880394AB71 USD 7.95%   15/12/2025 Echue
Ricoh Bonds JP397340C938 JPY 2.075%   04/03/2019 Echue
Sumitomo Corp Obligations JP340460AC15 JPY 0.757%   31/01/2019 Echue
Korea National Petroleum Corp US50066PAM23 USD 0.875%   04/10/2025 Echue
Swiss Credit XS1396725936 EUR 0%   30/06/2026 100
Raiffeisen Steiermark AG AT000B088349 EUR 4.6%   28/09/2027 100
Standard & Poor's Global Inc. US78409VBG86 USD 4.25%   30/04/2029 99.55
CrediaBank S.A XS3093364290 EUR 7.375%   12/06/2035 100
Nederlandse Gemeentebank XS3358362278 USD 3.875%   29/04/2031 100
Charter Communications Inc. US88732JAJ79 USD 6.55%   30/04/2037 99.93
Alliandra N.V. XS3359749564 EUR 3.75%   29/04/2036 100
Alliandra N.V. XS3359749481 EUR 3.25%   29/04/2031 100
Duchy Energy Corp XS2488626610 EUR 3.1%   14/06/2028 100
Italia Bonds IT0005707689 EUR 0%   15/04/2036 100
New York Life Global Finance XS2572476864 EUR 3.625%   08/01/2030 100
DZ BANK AG DE000DZ42T13 EUR 6.316%   Perpétuelle 100
Hellenic Bank CY0144180110 EUR 10%   Perpétuelle 100
Postal Savings Bank of China Co. Ltd XS1684793018 USD 4.5%   Perpétuelle 100
Fordon Motors US345370BR09 USD 7.4%   31/10/2046 105.07
Mortgage Agent Metallinvest-1 Bonds RU000A0JWLE8 RUB 0%   01/01/2027 100
Italia IT0005707614 EUR 3.15%   31/05/2031 100
Spie S.A FR001400ZYD0 EUR 3.75%   27/05/2030 100
Sparekassen Kronjylland DK0030507181 DKK 8.883%   Perpétuelle 100
eDreams ODIGEO Group XS3091931058 EUR 4.875%   29/12/2030 100
SveaBank AB XS2572496623 EUR 4.25%   10/07/2028 100
Deutsch Bank AG DE000A460DG7 EUR 6.75%   Perpétuelle 100.84
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 99.57
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 98.89
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 99.22
HSBC Global plc US404280FM61 USD 5.279%   10/03/2037 98.44
Österreichische Kontrollbank AG XS3358410697 EUR 2.875%   28/04/2031 99.54
Telekom Deutschland AG XS3356130826 EUR 3.875%   27/04/2038 98.19
Telekom Deutschland XS3356130073 EUR 3.375%   27/04/2033 98.67