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
Natwest Markets plc XS2487768207 NOK 4.39% 200 000 NOK 08/06/2029 100
Natwest Markets plc XS2459477639 AUD 0% 500 000 AUD 21/03/2029 100
Natwest Markets plc AU3FN0080586 AUD 0%   23/08/2028 100
Natwest Markets plc XS2448357322 USD 3.85%   12/08/2024 Echue
Natwest Markets plc AU3CB0291532 AUD 5.0546%   12/08/2025 100
Natwest Markets plc XS2638487566 GBP 6.625%   22/06/2026 100
Natwest Markets plc XS2576255249 EUR 4.25%   13/01/2028 100
Natwest Markets plc XS2556550601 USD 6.125%   22/11/2024 100
Natwest Markets plc XS2540612129 GBP 6.375%   08/11/2027 100
Natwest Markets plc XS2485553866 EUR 2%   27/08/2025 100
Natwest Markets plc XS2461138153 JPY 0.8%   24/03/2026 100
Natwest Markets plc XS2458346595 NOK 3.5%   17/03/2027 100
Natwest Markets plc US63906FZ859 USD 0%   08/12/2023 Echue
Natwest Markets plc US63906EGN67 USD 0%   22/07/2024 Echue
Natwest Markets plc USG6382GYX44 USD 3.479%   22/03/2025 99.195
Natwest Markets plc XS2576255751 EUR 0%   13/01/2026 100
Natwest Markets plc XS2485554088 EUR 0%   27/08/2025 100
Natwest Markets plc USG6382GYW60 USD 0%   22/03/2025 100.62
Natwest Markets plc CH1270825545 CHF 2.8575%   06/06/2028 100
Natwest Markets plc CH1231312708 CHF 2.7825%   06/12/2027 100
Natwest Markets plc CH1167887277 CHF 0.8975%   04/04/2025 100
Natwest Markets plc AU3CB0301851 AUD 5.899%   23/08/2028 100
Natwest Markets plc XS2150006646 EUR 2.75%   01/04/2025 99.47
Natwest Markets plc XS0138939854 GBP 5.625%   Perpétuelle 100
Natwest Markets plc XS0107382532 GBP 6.375%   06/12/2028 100
NatWest Markets PLC XS2451445048 GBP 2.549%   14/12/2025 100
NatWest Markets PLC XS2448357678 USD 3.88%   29/12/2025 100
NATWEST MARKETS PLC XS0466052338 USD 0%   29/06/2012 Echue
NatWest Markets PLC XS1952156856 EUR 1.5%   08/03/2024 Echue
NATWEST MARKETS PLC XS0514503456 RUB 0%   22/06/2012 Echue
NATWEST MARKETS PLC XS0514498780 RUB 0%   29/06/2012 Echue
NATWEST MARKETS PLC XS0514504421 RUB 0%   05/07/2012 Echue
NATWEST MARKETS PLC XS0514498350 USD 0%   09/07/2012 Echue
NATWEST MARKETS PLC XS0442789870 USD 0%   29/06/2012 Echue
NATWEST MARKETS PLC XS0442781034 USD 0%   29/06/2012 Echue
Natwest Markets Plc XS2315832118 NOK 0% 2 000 000 NOK 15/03/2023 Echue
Natwest Markets plc XS2359410821 GBP 0.762% 100 000 GBP 29/06/2023 Echue
Natwest Markets plc XS0496481200 EUR 5.5% 50 000 EUR 23/03/2020 Echue
Natwest Markets plc XS2128068629 EUR 0% 100 000 EUR 03/03/2023 Echue
Natwest Markets plc XS2097678481 EUR 0% 1 000 000 EUR 03/01/2025 Echue
Natwest Markets plc XS2076163034 USD 0% 1 000 000 USD 06/06/2021 Echue
Natwest Markets plc XS2043963029 GBP 0% 100 000 GBP 13/03/2028 100
Natwest Markets plc XS2095917238 USD 0% 100 USD 21/12/2020 Echue
Natwest Markets plc XS1971433989 USD 5.8% 1 000 000 USD 29/03/2024 Echue
Natwest Markets plc XS1950828043 EUR 0% 100 EUR 09/04/2020 Echue
Natwest Markets plc XS1884702207 EUR 0% 100 000 EUR 27/09/2021 Echue
Natwest Markets plc XS1837997979 EUR 1.125% 100 000 EUR 14/06/2023 Echue
Natwest Markets plc XS1819533222 JPY 0.4% 100 000 000 JPY 20/06/2019 Echue
Natwest Markets plc XS1819533149 JPY 0.3% 100 000 000 JPY 20/06/2019 Echue
Natwest Markets plc XS1788515861 EUR 0.625% 100 000 EUR 02/03/2022 Echue
Natwest Markets plc XS1627773606 EUR 0% 100 000 EUR 08/06/2020 Echue
Natwest Markets plc XS0454984765 EUR 5.375% 50 000 EUR 30/09/2019 Echue
Natwest Markets plc XS2099837457 EUR 0% 100 000 EUR 09/01/2023 Echue
Natwest Markets plc XS2048471002 EUR 0% 100 000 EUR 01/03/2021 Echue
Natwest Markets plc XS2021468645 JPY 0.737% 100 000 000 JPY 04/07/2022 Echue
Natwest Markets plc XS2018607254 SEK 0% 2 000 000 SEK 28/06/2021 Echue
Natwest Markets plc XS2015231686 JPY 0.63% 100 000 000 JPY 20/06/2024 Echue
Natwest Markets plc XS2013531228 EUR 0% 100 000 EUR 18/06/2021 Echue
Natwest Markets plc XS2008862323 CNY 4.39% 1 000 000 CNY 10/06/2024 Echue
Natwest Markets plc XS1966777044 JPY 0.86% 100 000 000 JPY 22/03/2024 Echue
Natwest Markets plc XS1966776822 JPY 0.77% 100 000 000 JPY 22/03/2022 Echue
Natwest Markets plc XS1965333971 CNY 4.62% 1 000 000 CNY 20/03/2024 Echue
Natwest Markets plc XS1957447003 USD 4.23% 250 000 USD 28/02/2024 Echue
Natwest Markets plc XS1956852823 JPY 0.8% 100 000 000 JPY 28/02/2022 Echue
Natwest Markets plc XS0480132108 RON 9.3% 250 000 RON 29/01/2020 Echue
Natwest Markets plc XS0460428328 RON 10.5% 250 000 RON 03/11/2019 Echue
Natwest Markets plc XS0237343115 JPY 2.865% 100 000 000 JPY 19/12/2025 100
Natwest Markets plc XS0206633082 GBP 5.5% 1 000 GBP Perpétuelle Echue
Natwest Markets plc NL0000117547 EUR 5% 100 000 EUR 20/10/2020 Echue
Natwest Markets plc XS0154144132 GBP 5.625% 1 000 GBP Perpétuelle 100
Natwest Markets plc XS2346730174 EUR 0% 100 000 EUR 26/05/2023 Echue
Natwest Markets plc XS2355599197 EUR 0.125% 100 000 EUR 18/06/2026 100
Natwest Markets plc XS2407357768 EUR 0.125% 100 000 EUR 12/11/2025 100
Natwest Markets plc GB00B4P95L57 GBP 0% 100 GBP 01/11/2022 Echue
Natwest Markets plc GB00B3N3WC23 GBP 5.1% 100 GBP 01/02/2020 Echue

La société ACUMEN CONSULTING a récemment obtenu le numéro LEI 969500GOWRUFOJHZB933
La société SCI LES ACACIAS a récemment obtenu le numéro LEI 969500JBP2XSNF3SM479
La société IKIGAI a récemment obtenu le numéro LEI 9695007ADZCZFVUI7E40
La société PACO a récemment obtenu le numéro LEI 96950092RFRDCI5E2D23
La société HOLDING ADAM a récemment obtenu le numéro LEI 969500I81QX7IGNUU350