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
Italia IT0005655037 EUR 0%   12/06/2026 Echue
FCC AQUALIA XS3089767183 EUR 3.75%   10/06/2032 99.33
New Flyer Holdings Inc USU64228AA45 USD 9.25%   30/06/2030 102.875
Globaldrive Auto Receivables UK 2016-A PLC XS1473826938 GBP 1.201%   19/09/2024 Echue
Bombardière USC10602BQ92 USD 6.75%   14/06/2033 102.66
La Poste Banque FR0127578948 GBP 0%   23/10/2022 Echue
FreddieMac Bonds US3128X4QP93 USD 4.595%   05/10/2007 Echue
SouthState Corp US840441AA79 USD 7%   12/06/2035 101.522
GS Financial Corp Bonds US40055QZV75 USD 0%   05/10/2023 Echue
Quadient Bonds FR0011368521 EUR 3.5%   06/12/2019 Echue
Oriental Nagpur Betul Highway Bonds INE105N07647 INR 9%   30/09/2022 Echue
RWE Energie XS3094762989 EUR 4.125%   17/06/2055 100.17
Cameron LNG LLC USU1309CAB29 USD 3.302%   14/01/2035 100
IWG XS3047978518 EUR 5.125%   14/05/2032 100
FNAC Darty Group XS3022166493 EUR 4.75%   01/04/2032 100
Icahn Holdings USU44927BD96 USD 10%   15/11/2029 100
TGS-NOPEC Geophysical USR9138BAA00 USD 8.5%   15/01/2030 100
FSK Capital US302635AP20 USD 6.125%   15/01/2030 100
America Bank Corporation US06051GLG28 USD 5.202%   25/04/2029 101.656
European Energy Bonds DK0030541289 EUR 0%   04/11/2027 100
Bayern Landesbank DE000BLB6UF5 EUR 1.2%   23/10/2028 100
Generali Assicurazioni XS3098976098 EUR 4.135%   18/06/2036 100
Precise Lending Group XS1783216093 GBP 6.571%   11/03/2055 100
Eridano Holding S.r.l. IT0005188682 EUR 0%   27/12/2032 100
Monte Paschi Siena Bonds IT0005653941 EUR 2.766%   06/06/2031 100
Ireland Auto Finance One XS2699052713 EUR 3.201%   11/09/2033 100
Nationwide Mutual XS3086813436 GBP 7.875%   Perpétuelle 100
ZF Friedrichshafen AG XS3091660194 EUR 7%   11/06/2030 99.6
Ireland Auto Finance DAC XS2699053521 EUR 3.651%   11/09/2033 100
Itaú Unibanco Holding S.A. USP5R6DPAA84 USD 6.125%   Perpétuelle 100
FreddieMac Bonds US3128X5CX49 USD 5.5%   03/07/2007 Echue
Unified Gaming Solutions Bonds MT0002261205 EUR 5.9%   22/07/2026 100
Aker BioMarine AS NO0013326025 NOK 0%   12/09/2027 99.7
PREF FAT Brands Series B-Prime US30258N5014 USD 8.25% 25 USD 20/06/2032 2.74
Helvetic Card Issuer 2022-1 Bonds CH1191066211 CHF 2.5%   15/06/2027 100
Helvetic Card Issuance 2023-1 Bonds CH1264887394 CHF 2.915%   15/06/2028 102.08
CITIC Trust Securities CNM100003GR3 CNY 4.95%   26/09/2019 Echue
RMB Prado X Bonds ES0305635015 EUR 3.3%   01/03/2052 100
Sabadell Auto Finance Bonds 1 ES0305723019 EUR 0%   25/09/2035 100
BBVA RMBS 2022 Bonds ES0305689012 EUR 0%   26/07/2066 100
RMB Prado X Bonds ES0305635023 EUR 0%   01/03/2052 100
AyT Genova Hypothecary VI Bonds ES0312349022 EUR 2.509%   15/01/2038 100
AyT Genova Hypothecary VI Bonds ES0312349030 EUR 2.779%   15/01/2038 100
AyT Genova Hypothecary VI Bonds ES0312349048 EUR 4.029%   15/01/2038 100
BBVA RMBS 3 Obligations ES0314149057 EUR 0%   20/02/2060 100
BBVA RMBS 3 Obligations ES0314149081 EUR 0%   20/02/2060 100
GC Sabadell Obligations 1 ES0316874033 EUR 0%   20/06/2038 100
Santander Mortgage 7 Bonds ES0336104015 EUR 0%   16/03/2054 100
Sollion Bonds ES0317104018 EUR 0%   23/05/2047 100
Santander Mortgage 3 Bonds ES0338093059 EUR 0%   18/01/2050 100
UCI-9 Liens ES0338222021 EUR 3.656%   19/06/2035 100
Santander Mortgage 3 Bonds ES0338093075 EUR 0%   18/01/2050 100
Santander Mortgage 3 Bonds ES0338093067 EUR 4.336%   18/01/2050 100
FTPYME TDA CAM 4 Liens ES0339759054 EUR 7.931%   28/09/2045 100
IM Pastor 2 Liens ES0347861025 EUR 3.237%   22/09/2041 100
IM Pastor 3 Liens ES0347862015 EUR 2.677%   22/03/2043 100
IM Pastor 3 Liens ES0347862031 EUR 2.987%   22/03/2043 100
Rural Mortgage V Bonds ES0358284026 EUR 0.217%   15/03/2035 100
Rural Mortgage VII Bonds ES0366366021 EUR 0%   15/03/2038 100
Rural Mortgage VI Bonds ES0374306027 EUR 0.443%   17/10/2036 100
TDA Cajamar Obligations 2 ES0377965043 EUR 3.281%   26/06/2041 100
Santander Funding 1 Bonds ES0382043059 EUR 0%   20/07/2035 100
Mars 2600 Securities IT0004356686 EUR 0%   23/10/2042 100
Claris RMBS 2011 Obligations IT0004700883 EUR 0%   28/11/2060 100
Berica ABS 3 S.R.L. Obligations IT0005027963 EUR 0%   30/06/2061 100
Netherlands Property Finance 2018-1 B.V. XS1864981276 EUR 4.335%   27/04/2051 100
Holland Property Finance 2018-1 XS1864981862 EUR 6.614%   28/04/2051 100
Precise Lending 2019-1B XS1923737867 GBP 0%   12/12/2055 100
Mulcairn Securities XS1962597164 EUR 1.645%   24/04/2071 100
Netherlands Property Finance 2019-1 XS1980832593 EUR 4.629%   28/10/2052 100
Finsbury Square Holdings PLC XS2021449694 GBP 3.419%   15/09/2069 100
Finsbury Square Holdings XS2053549569 GBP 5.954%   16/12/2069 100
Delft 2021 XS2094080665 EUR 3.827%   17/10/2042 100
Finsbury Square Partners XS2190195649 GBP 5.54%   16/06/2070 100
Vita Finance PLC XS2199320909 USD 0%   07/07/2022 Echue
Home Loan Securities 32 XS2207323044 GBP 8.23%   20/06/2070 100
Netherlands Property Finance 2021-1 XS2294368050 EUR 4.041%   28/07/2058 100
Netherlands Property Finance 2021-2 XS2384171638 EUR 3.341%   28/04/2059 100
Finsbury Square Partners XS2400369679 GBP 5.439%   16/12/2071 100
Finsbury Square Partners XS2400370339 GBP 5.889%   16/12/2071 100
Cardiff Auto Receivables Funding 2018-1 XS2435093278 GBP 0%   21/10/2028 100
Fortuna Consumer Credit ABS 2023-1 XS2585848992 EUR 4.62%   18/09/2032 100
Nova Capital Lux SA XS2716098178 EUR 0%   18/12/2025 100
Guangdong Financial Trust Securities CNM1000041C0 CNY 4.2%   26/08/2020 Echue
DFS Finance XS1072796284 EUR 0%   15/03/2019 Echue
CrediFinance 9 S.r.l. Bonds IT0004745201 EUR 0%   15/11/2050 100
AssetBacked European Securities Fourteen Srl IT0005187122 EUR 0.01%   15/04/2030 100
Tulpenhof XS2244942202 EUR 0%   18/01/2058 100
Icarus Finance Bonds IT0004826597 EUR 0%   12/11/2043 100
Helvetic Card Issuance 2020-1 Bonds CH0545766591 CHF 2.5%   15/06/2025 Echue
Dawn SPV 50 Bonds IT0005559874 EUR 5%   27/07/2048 100
CITIC Trust Securities CNM100003JZ0 CNY 5.38%   26/05/2019 Echue
PharmaFinance3 IT0004323744 EUR 0%   26/09/2028 100
Bari Popular Mortgages Bonds IT0004440621 EUR 0%   31/07/2049 100
Euro Secured Note Issuance Bonds FR0014005X57 EUR 0%   31/12/2021 Echue
Sino Global Commerce & Trade Trust Bonds CND100045LR3 CNY 3.48%   26/09/2023 Echue
Sino Global Commerce & Trade Trust Bonds CND100042NF1 CNY 3%   26/10/2021 Echue
Sino Global Commerce & Trade Trust Bonds CND10003VYS1 CNY 3.44%   26/01/2022 Echue
Sino Global Commerce & Trade Trust Bonds CND10003VS72 CNY 3.4%   26/07/2021 Echue