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
UniCredit Obligations FR0129622553 EUR 3%   31/01/2024 Echue
UniCredit Obligations IT0005689978 EUR 3.8%   15/01/2036 100
UniCredit Obligations IT0005686180 EUR 4.75%   18/12/2055 100
UniCredit Obligations IT0005624819 EUR 4.5%   31/01/2031 100
UniCredit Obligations IT0005636797 EUR 3.8%   26/03/2031 100
UniCredit Obligations IT0005669715 EUR 3.2%   21/09/2031 97.84
UniCredit Obligations IT0005631657 EUR 0%   14/01/2035 100.3
UniCredit Obligations IT0005642985 EUR 3.518%   27/03/2031 100
UniCredit Obligations IT0005659542 EUR 0%   31/07/2030 100
UniCredit Obligations IT0005640278 EUR 3.7%   13/03/2032 100
UniCredit Obligations IT0005657363 EUR 3%   27/06/2030 100
UniCredit Obligations IT0005631632 EUR 5.75%   15/01/2035 100
UniCredit Obligations IT0005672594 EUR 3.5%   08/10/2031 100
UniCredit Obligations IT0005636789 EUR 0%   26/03/2029 100
UniCredit Obligations IT0005600199 EUR 0%   31/07/2030 100
UniCredit Obligations IT0005667693 EUR 5%   01/09/2038 100
UniCredit Obligations IT0005635955 USD 10%   13/02/2026 Echue
UniCredit Obligations IT0005654592 EUR 3.1%   09/06/2031 98.04
UniCredit Obligations IT0005654584 EUR 3.725%   09/06/2035 97.63
UniCredit Obligations IT0005617375 EUR 5.2%   13/10/2037 91.44
UniCredit Obligations IT0005691305 EUR 2.95%   26/01/2031 100
UniCredit Obligations IT0005631921 EUR 3.8%   16/01/2033 100
UniCredit Obligations IT0005580656 EUR 4.3%   22/01/2031 103.07
UniCredit Obligations IT0005622912 EUR 0%   19/11/2028 100.34
UniCredit Obligations IT0005636532 EUR 5.625%   Perpétuelle 100.09
UniCredit Obligations IT0005580102 EUR 5.375%   15/04/2034 104.18
UniCredit Obligations IT0005690471 EUR 5.8%   Perpétuelle 99.77
UniCredit Obligations IT0005656282 EUR 4.175%   23/06/2037 100.26
UniCredit Obligations IT0005716797 EUR 3.375%   31/07/2033 100
UniCredit Obligations IT0005716805 EUR 3%   31/07/2029 100

UniCredit Bonds are debt securities issued by UniCredit Group, a major Italian banking and financial services company, offering investors fixed-income returns.

UniCredit Bonds désigne les obligations émises par la banque italienne UniCredit, offrant aux investisseurs une exposition à la dette de l'entreprise et un potentiel de rendement fixe.

UniCredit emette una varietà di obbligazioni, tra cui obbligazioni senior, subordinate e obbligazioni strutturate, con diverse scadenze e rendimenti, destinate a investitori istituzionali e privati.