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
Bank Vontobel AG Bonds CH0301889322 CHF 0%   Perpétuelle 100
Principality Building Society XS2640862210 GBP 8.625%   11/07/2028 107.58
Asia Development Bank XS2764856873 GBP 4.125%   14/02/2029 100
Engie Bonds CH1325100134 EUR 1.375%   21/06/2039 100
Hypothekarbank Schweiz AG CH1323274063 CHF 1.75%   21/03/2029 100
Campari Davide XS2740429589 EUR 2.375%   17/01/2029 97.66
BAWAGPSK XS2707629056 EUR 6.75%   24/02/2034 100
Goldman Sachs Global Finance XS2688851372 CAD 3%   18/09/2026 100
Mizuho Holdings XS2672744013 AUD 6.025%   28/08/2029 100
Asia Development Bank XS2765734897 MXN 9%   21/02/2034 100
Clarion Funding XS2828820519 GBP 5.375%   30/05/2057 100
Bekarys liquidity XS2950525894 GBP 0%   05/12/2028 100
CORPORACION QUIPORT XS3226519372 USD 9%   14/12/2037 100
AZULE ENERGY FINANCE XS3271042338 USD 8.25%   22/01/2031 100
Shanghai Pudong Development Bank (Singapore Branch) XS2921400292 USD 0%   28/10/2027 100
Mercedes-Benz Konzern XS2750326899 AUD 4.75%   17/01/2027 100
Electric Union US906548DC34 USD 5.55%   15/03/2056 100
Zürich Kantonalbank Finanz CH1273460621 EUR 0%   20/09/2024 Echue
LGT Banq AG CH1323274055 CHF 2%   15/02/2034 100
Banque Cantonale Vaudoise Bonds CH1349643085 CHF 1.7%   04/06/2038 100
THE SECRETARY OF STATE FOR COMMUNITIES AND LOCAL GOVERNMENT XS2596082102 GBP 4.809%   14/03/2055 86.07
Delhaise XS2780025511 EUR 3.875%   11/03/2036 99.72
Northumbria Water XS2794482351 GBP 5.5%   02/10/2037 100
Delhaise XS3308585242 EUR 0%   12/03/2028 100
Indonesian Bonds XS3307444482 EUR 4.1%   04/03/2034 100
Aramco XS3282975583 USD 5%   02/02/2036 100
Jydsk Bank XS2831594697 EUR 4.125%   06/09/2030 100
XTALPI HOLDINGS LTD XS3267872995 HKD 0%   25/01/2027 100
MitsCorp XS3262501805 EUR 3.375%   02/03/2034 100
LondonMetric Property XS3248409156 GBP 4.5%   10/12/2029 100
MLP Group XS3239189296 EUR 4.75%   20/01/2031 100
Julius Baer Bank Bonds CH1278381806 EUR 0%   19/08/2024 Echue
Zurick Cantonnal Banc Bonnds CH1278381715 USD 0%   12/08/2024 Echue
Leonteq Securities (Guernsey Branch) Bonds CH1277656547 CHF 0%   28/01/2025 Echue
Vontobel Obligations AG CH1276583783 CHF 0%   07/11/2024 Echue
Bank Vontobel AG Bonds CH1275376023 CHF 0%   18/11/2024 Echue
Bank Vontobel AG Bonds CH1275375868 EUR 0%   19/02/2025 Echue
Bank Vontobel AG Bonds CH1275375520 USD 0%   05/08/2024 Echue
Bank Vontobel AG Bonds CH1275372741 CHF 0%   04/11/2024 Echue
EBRDS XS3206904636 BRL 0%   09/01/2036 100
Liberty Mutual Holdings XS2561647012 EUR 4.625%   01/12/2030 100
Korea Home Finance Corp. XS2545732484 EUR 3.714%   11/04/2027 100
Banco Internacional CH1335850306 CHF 2.8%   23/07/2027 100
UniCredit Bank Austria Bonds AT000B044342 EUR 3%   11/02/2031 100
Bank Vontobel AG Bonds CH1275372394 USD 0%   22/07/2024 Echue
Zurick Cantonnal Banc Bonnds CH1276886236 EUR 0%   16/08/2024 Echue
Leonteq Securities (Guernsey Branch) Bonds CH1283545270 CHF 0%   01/09/2025 Echue
Rhaetische Bahn Bonds CH1346743037 CHF 1.253%   17/06/2040 100
Abu Dhabi Commerce Bank CH1325807845 CHF 2.0125%   21/02/2030 100
IBRD-Global CH1302019901 EUR 0.823%   12/06/2069 100
Riyad Tier 1 Sukuk Ltd XS2903270671 USD 5.5%   Perpétuelle 98.3
Targa Energy Corp US87612GAU58 USD 6.05%   15/05/2056 100
Kantonalbank Pfandbriefzentrum CH1361401719 CHF 1.25%   18/04/2033 103.88
Swiss Prime Site AG XS2627116176 CHF 1.625%   29/05/2030 100
Wessex Aquatics Finance PLC XS2569776136 GBP 5.125%   30/10/2032 100
Eurobank Reconstruction Development XS3239974978 BRL 10.5%   30/11/2028 100
Standard Chartered Bank [Singapore] Ltd XS2909746740 EUR 2.595%   01/10/2028 99.35
Goldman Sachs Financial Corp. International Ltd XS2684435766 GBP 4%   10/09/2026 99.3
DZ BANK AG DE000DD5A2V9 EUR 0%   26/12/2028 100
Almirral S.A. XS3248326533 EUR 3.75%   14/06/2031 100
Toyomoto Credit Corp XS2942483319 USD 4.71%   16/01/2030 99.78
Tessin Kanton CH1290222509 CHF 1.7%   29/10/2033 107.45
TSB Bank Ltd XS3000970494 EUR 2.704%   17/02/2030 98.66
Australia National Bank Ltd CH1289657137 CHF 2.201%   11/04/2029 100
Turkiye XS3293834662 EUR 5.15%   09/03/2034 100
Procter & Gamble Inc. XS3222558705 EUR 2.9%   02/11/2033 96.95
Nigeria Bonds XS3218073057 USD 9.1297%   13/01/2046 100
Goldman & Sachs XS2814355314 NOK 3.75%   10/07/2026 100
DZ Bank Obligations DE000DD5A1T5 EUR 0%   22/12/2027 101.01
DZ Bank Obligations DE000DD5A150 EUR 4.87%   22/12/2027 100
DZ BANK AG DE000DD5A127 EUR 3.68%   22/12/2026 100
Commerzbank Fixed Income DE000CZ46CA7 EUR 3.875%   02/03/2037 96.71
Kommerzbank AG DE000CZ457J1 EUR 2.4%   30/10/2029 100
PCS SE DE000A4DFWY7 EUR 5.5%   31/12/2030 100
DS 143 Hotelportfolio I GmbH & Co.KG DE000A4DFS91 EUR 6.25%   31/05/2028 100
PCC SE Bonds DE000A4DFMA8 EUR 4%   30/06/2027 101
VOSS Beteiligung Bonds DE000A4DE9R7 EUR 7%   28/05/2030 100
Solar Finance Management AG DE000A3KLDX4 EUR 3%   31/12/2027 100
Deutsche Konsum REIT-AG DE000A3E5KJ6 EUR 3.1%   27/04/2031 100
WeGrow AG DE000A383RQ0 EUR 8%   10/11/2029 90
TitanSafe GmbH Bonds DE000A383EA2 EUR 11%   28/04/2030 100
Islamic Bank of Development XS2932797306 EUR 2.798%   05/11/2029 100
DZ Bank Obligations DE000DD5A3D5 EUR 0%   22/06/2028 100
Nykredit Ejendomskredit A/S DK0030523030 EUR 3.625%   23/07/2030 100
NORDLB Obligations DE000NLB3YY1 EUR 2.25%   02/08/2026 100
NORDLB Obligations DE000NLB3367 EUR 4%   07/02/2030 100
Helaba Obligations DE000HLB44C9 EUR 3.4%   17/07/2034 100
Helaba Obligations DE000HEL0S57 EUR 3.25%   05/03/2034 97.4
Helaba Obligations DE000HEL0QW2 EUR 3.38%   27/11/2034 100
Helaba Obligations DE000HEL0PW4 EUR 3.25%   19/11/2035 100
Helaba Obligations DE000HEL0PA0 EUR 4.75%   07/11/2033 100
Helaba Obligations DE000HEL0NP3 EUR 2.75%   23/10/2031 100
Helaba Obligations DE000HEL0NN8 EUR 2.5%   23/10/2029 100
DZ Bank Obligations DE000DW6AJ48 EUR 0%   25/06/2030 100
DZ BANK AG DE000DW6AGH7 EUR 3.09%   29/12/2030 98.55
DZ Bank Obligations DE000DW6AG58 EUR 3.24%   29/12/2030 100
DZ BANK AG DE000DW6ACF0 EUR 3.8%   27/12/2029 100.45
DZ Bank Obligations DE000DW6ABL0 EUR 4.36%   22/12/2033 100.96
DZ BANK AG DE000DW6AAZ2 EUR 4.55%   22/12/2033 100