Liste d'obligations internationales ( Toutes )

EmetteurPays
Coupon minCoupon maxTranche minimale <= Devise
Prix minPrix maxEcheance minEcheance max
Exclure échuesExclure en défaut



Société émettrice Code ISIN Devise Coupon Montant minimal Maturité Prix sur le marché
Santander Bank US05971KAY55 USD 7.25%   Perpétuelle 100
SEBCO XS3394042322 USD 6.75%   Perpétuelle
Kunming Rail Transit XS2084435002 USD 3.9%   11/12/2024 Echue
Poly Real Estate Finance Ltd XS1873112764 USD 4.75%   16/09/2023 Echue
Saskatchewan Province CA803854KG22 CAD 2.95%   01/06/2058 100
Ontario Province CA68333ZBC01 CAD 4.15%   01/06/2034 100
Austria Bond AT0000A3V234 EUR 3.55%   19/09/2041
Erste Bank AT0000A3US71 EUR 3.03%   02/06/2032 100
Bosnia and Herzegovina Bonds XS3385959302 EUR 5%   04/06/2031 100
EDP Soluciones Financieras Espana XS3391835629 EUR 3.75%   28/02/2033
Global Aviation Group XS3364672256 EUR 3.875%   27/01/2031
Austria Bond AT0000A3V200 EUR 2.85%   19/10/2031
LBBW DE000LB4XGB2 EUR 3.125%   27/05/2032
Columbia Britannica XS3388170964 EUR 3.625%   28/05/2036
Alfabet XS3363388086 EUR 4.8%   11/05/2063 100.71
Alfabet CH1523561954 CHF 1.8675%   03/03/2051 98.85
Nippon JP1051781R45 JPY 1%   19/03/2030 97.51
Alfabet XS3363386460 EUR 3.2%   11/05/2030 100.18
Alfabet XS3363386544 EUR 3.625%   11/05/2034 100.63
Alfabet XS3363387609 EUR 4.5%   11/05/2045 101.53
Alfabet XS3363387435 EUR 4.1%   11/05/2039 101.22
Eesti Energi AS XS3338741567 EUR 4.6%   27/05/2031 100
Alfabet XS3372845746 EUR 3.45%   11/05/2032 100.52
BAWAG PSK Wohnbaubank XS3389663348 USD 4.508%   29/05/2029 99.99
Alfabet CH1523561939 CHF 1.2525%   03/03/2036 99.32
Tatrabank AS SK4000029559 EUR 4.269%   25/05/2032 100
SFK FINANCE INVESTMENT GROUP Bonds KZ2P00005218 KZT 25%   05/06/2020 Echue
Nippon JP1201901QA8 JPY 1.8%   19/09/2044 78.43
Nippon JP1201881Q46 JPY 1.6%   19/03/2044 76.64
Nippon JP1201871Q14 JPY 1.3%   19/12/2043 73.13
Nippon JP1103791R75 JPY 1.5%   19/06/2035 92.35
Nippon JP1103771R12 JPY 1.2%   19/12/2034 90.92
Nippon JP1103741Q44 JPY 0.8%   19/03/2034 89.54
Alfabet US02079KAU16 USD 0%   15/11/2028 100.52
Eurobank Reconstruction Development XS3382702168 USD 4.84%   18/05/2036 100
Nova Scotia Province CA669827GG68 CAD 4.05%   31/05/2033 100
Muskrat Falls Funding CA628153AB44 CAD 3.83%   31/05/2037 100
United American States US912796UV94 USD 0%   02/04/2019 Echue
AmeriGas LP USU03030AC49 USD 9.5%   31/05/2030 107.16
Swiss Credit XS1649607063 USD 0%   12/08/2019 Echue
Enera XS3093349739 EUR 0%   29/06/2025 Echue
Francia FR0129570604 EUR 0%   16/12/2026 100
Regency Financial Holdings Limited XS1391575245 USD 9.5%   14/04/2021 Echue
BPM Bond Bank IT0004597495 EUR 4%   23/04/2020 Echue
Telefonica Emisiones SAU XS3388349188 EUR 4.3525%   26/11/2034 100
SaarLB DE000SLB4386 EUR 3.5%   26/05/2036 100
Finvera XS3391836510 USD 4.25%   28/05/2031 100
Teleperformance FR0014018LM8 EUR 5.375%   27/01/2035 100
Valletta Bank XS3375198226 EUR 4.467%   27/05/2032 100
Fédération des Caisses Desjardins Québec XS3389643407 EUR 3.25%   26/05/2031 100
NORDLB Obligations DE000NLB5503 EUR 3%   27/05/2029 100
CSOB (Slovakia) Bonds SK4000029518 EUR 3.25%   25/05/2031 100
AMRO ABN XS3388145263 USD 0%   26/05/2031 100
Teleperformance FR0014018LK2 EUR 4.75%   27/03/2032 100
Cassa Centrale Banca Finance IT0005710790 EUR 3.75%   26/05/2030 100
E.ON International Finance BV XS3386748993 EUR 3.475%   26/05/2031 100
Heidelberger Baustoffe XS3379436325 EUR 3.5%   09/10/2029 100
CEZAS XS3373524050 EUR 4.375%   26/05/2034 100
Getty Imagery USU3742LAE75 USD 14%   01/03/2028 87.88
EON Global Finance B.V. XS3386749025 EUR 4.053%   26/05/2036 100
Italia IT0005711749 EUR 0%   30/11/2026 100
Caffil FR0014018ML8 EUR 3.625%   26/05/2036 100
Fidelidade - Companhia de Seguros S.A PTFIDAOM0000 EUR 7.75%   Perpétuelle 108.78
Heidelberger Baustoffe XS3379436598 EUR 4%   17/07/2035 100
KFW Bond DE000A5H27X9 EUR 3.375%   29/06/2036 100
Hypo Tirol Bank AG AT0000A3UZM4 EUR 3.25%   29/05/2033 100
NorthInvest Bank XS3391770743 EUR 3.125%   29/05/2033 100
Nordic Invest Bank XS3389803456 EUR 2.828%   27/05/2029 100
Steadfast Holding XS3389660161 EUR 3.625%   27/05/2033 100.57
BWM XS3389229900 GBP 5.5%   26/11/2032 100
Municipal Finance PLC XS3388204458 USD 4.25%   26/05/2031 100
Lufthansa German XS3376351055 EUR 4.125%   26/01/2032 100
Agence Nationale des Organismes de Sécurité Sociale XS3083790199 GBP 0%   30/09/2025 Echue
ENI Energia S.p.A. XS3388188586 EUR 3.5%   25/05/2031 100
Enera XS3358330820 EUR 3.875%   25/05/2033 100
Hamburger Sparkasse GmbH DE000A460Q35 EUR 1.5%   01/02/2028 97.61
Belfius Banque SA BE0390317866 EUR 3.25%   26/05/2032 101.11
Austria Bond AT0000A3TF12 EUR 0%   26/08/2026 99.49
Samruk-Kazyna National Welfare Fund Bonds KZP02Y11D390 KZT 6%   13/03/2020 Echue
Enera XS3358330663 EUR 3.5%   25/05/2030 100
BBVA Consumer Auto 2026-1 Fondo de Titulización- ES0306039001 EUR 2.716%   24/02/2042 100
Addidas AG XS3388179676 EUR 3.5%   25/05/2031 101.03
ENI Energia S.p.A. XS3388189394 EUR 4%   25/05/2035 100
Endeavor Mining USG3R41AAB20 USD 7%   27/05/2030 102.08
LBBW XS1072249045 EUR 2.875%   26/05/2026 Echue
Unibail-Rodamco-Westfield Bonds FR0014016I12 EUR 3.875%   20/04/2033 99.79
Sachsen-Anhalt Region DE000A46ZYY5 EUR 2.875%   25/05/2028 100.34
Italia Bonds XS3358406075 EUR 4%   28/04/2038 100
Quarzos S.r.l. IT0005700262 EUR 2.889%   14/09/2043 100
EurBank SA XS3386670270 EUR 3.875%   24/05/2032 100.7
Yorkshire Homes Society XS2823336438 GBP 0%   23/05/2029 100.03
SPIE SAS Bonds FR0014018DI3 EUR 3.875%   17/05/2031 100
ICREA Bank IT0005708778 EUR 4.002%   06/05/2045 100
Francia FR0129570554 EUR 0%   02/09/2026 100
Lusitania PTPBT1GE0046 EUR 0%   20/05/2027 100
Luxembourg International Bank S.A. XS3373516973 EUR 0%   01/02/2028 100
Telekom International Finance B.V. US25156PBA03 USD 3.6%   18/01/2027 99.46
Arla Foods Amba XS3382815879 EUR 3.375%   21/05/2029 100
ARLA FOODS AMBA XS3382816091 EUR 3.875%   21/05/2033 100