Liste d'obligations internationales ( Toutes )
Société émettrice | Code ISIN | Devise | Coupon | Montant minimal | Maturité | Prix sur le marché | |
CDP S.p.A. | IT0005025389 | EUR | 2.75% | 100 000 EUR | 30/05/2021 | Echue | |
CDP S.p.A. | IT0004691157 | EUR | 3.8% | 100 000 EUR | 15/02/2021 | Echue | |
CDP S.p.A. | IT0004984008 | EUR | 3.093% | 200 000 EUR | 23/12/2019 | Echue | |
CDP S.p.A. | IT0005514382 | EUR | 0% | 27/02/2023 | Echue | ||
CDP S.p.A. | IT0005503294 | EUR | 0% | 03/11/2022 | Echue | ||
CDP S.p.A. | IT0005505927 | EUR | 0% | 04/11/2022 | Echue | ||
CDP S.p.A. | IT0005509119 | EUR | 0% | 29/11/2022 | Echue | ||
CDP S.p.A. | IT0005514374 | EUR | 0% | 13/12/2022 | Echue | ||
CDP S.p.A. | IT0005482879 | EUR | 2% | 07/02/2037 | 100 | ||
CDP S.p.A. | IT0005314544 | EUR | 0.75% | 100 000 EUR | 21/11/2022 | Echue | |
CDP S.p.A. | XS2810863675 | USD | 5.875% | 200 000 USD | 29/04/2029 | 100 | |
CDP S.p.A. | IT0003933717 | EUR | 3% | 31/01/2013 | Echue | ||
CDP S.p.A. | IT0005634602 | EUR | 3.5% | 25/03/2032 | 100 |