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
HMS Bergbau Bonds DE000A4DFTU1 EUR 10%   02/06/2030
Germania DE000BU2Z056 EUR 2.6%   15/08/2035
Equinox US85771PAK84 USD 2.65%   14/01/2024 Echue
Toyomoto Credit Corp US89236TJZ93 USD 3.05%   21/03/2027
Gilead Biosciences Inc US375558BZ59 USD 5.25%   14/10/2033
FedExCo USU31520AZ99 USD 5.25%   14/05/2050
GS EPS Bonds KR6063142634 KRW 2.519%   09/03/2021 Echue
Heineken Holding USN39427AQ76 USD 2.75%   31/03/2023 Echue
Montreal Bank US06368LWU69 USD 5.717%   24/09/2028
Amazone US023135CR56 USD 4.7%   30/11/2032
BBVA Banco XS3226545617 EUR 5.625%   Perpétuelle 100
Polish Bonds PL0000107173 PLN 0%   01/08/2015 Echue
Chengdu Xingcheng Investment Group XS1523109350 USD 3.25%   29/11/2021 Echue
Kazakh National Bond Bank KZW1KD076753 KZT 0%   12/08/2016 Echue
YPX USP989MJBZ33 USD 8.75%   11/09/2031 102.9
Fannie Mae Securities US3136G2Q261 USD 1.4%   28/10/2019 Echue
IQera Group SAS XS2017796009 EUR 5.031%   29/09/2024 Echue
PYME Valencia 2 -Fondo de Titulización de Activos ES0372219008 EUR 0.521%   24/03/2047 100
Reconceptus GmbH DE000A4DFW53 EUR 7.75%   29/10/2031 99.24
First Group Bonds AT0000A16QS9 EUR 3.7%   20/04/2020 Echue
Softbank Corporation XS3203998078 EUR 6.5%   28/10/2062 98.4
Softbank Corporation XS3203997427 USD 8.25%   28/10/2065 98.08
Wüstenrot & Württembergische AG XS3201877886 EUR 4.983%   26/10/2045 100
Northwestern University US668444AM44 USD 3.688%   30/11/2038 89.97
National Mortgage Association US36296LST88 USD 6.5%   31/10/2038 100
Federal Home Loan Mortgage Corporation US3128MJZF08 USD 3%   30/11/2046 100
National Mortgage Association QW000A1ZTTW1 USD 4.5%   31/08/2040 100
KEXEM XS1531056858 CNY 4.45%   09/12/2019 Echue
BCC Laudense Lodi Bonds IT0004680036 EUR 5.05%   20/01/2026 100
Minsheng Bank (Hong Kong) XS1676932889 USD 0%   11/09/2022 Echue
Swiss Credit US22546DAB29 USD 7.5%   Perpétuelle 100
Satin Creditcare Network Bonds INE836B08186 INR 11.15%   30/11/2019 Echue
Taseko Mining USC8692MAD68 USD 8.25%   30/04/2030 105.21
Swiss Credit US22546DAA46 USD 6.5%   08/08/2023 Echue
HSBC US Bonds US40435UCC62 USD 0%   21/06/2021 Echue
Adecoagro USL00849AB20 USD 7.5%   29/07/2032 100
CCO Group USU12501BM05 USD 4.5%   01/06/2033 100
Ares Strategic Yield Fund USU2225WAJ00 USD 5.15%   15/01/2031 100
CogentComm Group USU1928QAB24 USD 6.5%   01/07/2032 100
Centuri Communities USU15662AF37 USD 3.875%   15/08/2029 100
GoSimple USC39555AK04 USD 6.875%   15/02/2031 100
Barings Private Credit Corporation USU0R49BAA42 USD 6.15%   11/06/2030 100
Carlyle Secured Lending US872280AB83 USD 5.75%   15/02/2031 100
North Haven Private Equity US65960NAB64 USD 5.75%   01/02/2030 100
Bain Capital Specialty Finance US05684BAD91 USD 5.95%   15/03/2030 100
American Airlines 2019-1 Bonds US02378MAA99 USD 3.5%   15/08/2033 100
GoSimple USC39555AH74 USD 6.875%   15/05/2030 100
Versant Media Group Inc US925283AA12 USD 7.25%   29/01/2031 101.75
Sunoco Partners USU8675JAG77 USD 5.875%   15/03/2034 100
LGI Housing USU5286JAD10 USD 7%   15/11/2032 100
Crescent Energy Funding USU4526LAJ62 USD 7.375%   15/01/2033 100
HPS Corporate Loan Fund USU44276AH33 USD 5.45%   15/11/2030 100
Grey Media USU4248MAB82 USD 7.25%   15/08/2033 100
Sunoco Partners USU8675JAF94 USD 5.625%   15/03/2031 100
UWM Group USU9100BAB81 USD 6.25%   15/03/2031 100
Permian Resources Operating USU7135VAB72 USD 7%   15/01/2032 100
Olyn USU67959AB91 USD 6.625%   01/04/2033 100
Magnara USU5S63AAA55 USD 7.25%   15/11/2031 100
Matador Energy USU57631AG51 USD 6.25%   15/04/2033 100
Luna 1.5 XS3148254389 EUR 10.5%   30/06/2032 100
Seagate Technologies Holdings USY7550LAN56 USD 4.125%   15/01/2031 100
Xeroxx USU9841NAQ35 USD 13.5%   15/04/2031 100
Venture Global Calcasieu-Pass USU9220MAC74 USD 3.875%   01/11/2033 100
Manuchar Bonds BE6365823044 EUR 0%   06/07/2032 100
Edenora USP3710FAU86 USD 9.75%   24/10/2030 102.4
Rady Children s Hospital - San Diego US75063MAA53 USD 3.154%   14/08/2051 68.962
DekaBank Girozentrale DE000DK0C232 EUR 1.1%   28/11/2022 Echue
Hamburg Hansestadt DE000A3MQTH8 EUR 3.375%   29/10/2045 100.01
Münchner Hypothekenbank eg DE000MHB67Q8 EUR 3.375%   10/04/2035 98.66
Permanent Principal Issuer PLC XS1302936031 GBP 7.164%   14/07/2042 100
Residential Mortgage Securities 27 PLC XS0981922809 GBP 0%   13/08/2045 100
Brinker International USU6223WAC83 USD 8.25%   14/07/2030 104.95
HDFC Obligations INE001A07PY5 INR 1.5%   12/02/2020 Echue
Corebridge Global Finance US00138CBG24 USD 4.25%   21/08/2028 100.453
United States Bonds US91282CNM90 USD 3.875%   15/07/2028 100
Tokyo Metropolis Authority XS3211770428 EUR 2.625%   27/10/2030 100
Hyundai Capital Americas US44891ADZ75 USD 4.25%   18/09/2028 99.81
Morgan Stanley Private Banking Bonds US61776NVE02 USD 4.466%   06/07/2028 100.757
WestPac NZ US96122FCB13 USD 4.218%   16/09/2030 100.04
FreddieMac Bonds US3128X4RJ25 USD 4.68%   24/10/2007 Echue
Enera US29278GBF46 USD 4.125%   30/09/2028 100.034
Montreal Bank XS3218066788 EUR 0%   28/10/2029 99.76
United States Bonds US91282CNU17 USD 3.625%   15/08/2028 100
MetLife Global Capital I US592179KR57 USD 4.15%   25/08/2028 100.56
Danica Bank US23636ABL44 USD 4.42%   12/09/2031 99.904
NTT Financial Corporation US62954WAP05 USD 4.567%   16/07/2027 100.924
Sbabank XS3208013030 EUR 2.75%   22/04/2031 99.49
Toyota Financial Services Netherlands XS3206563549 EUR 2.75%   28/01/2030 99.77
STONEWEG EREIT LUX FINCO XS3206517867 EUR 4.125%   22/02/2033 99.29
AXIA XS3206364690 EUR 4.125%   24/07/2056 99.98
Public Property Invest AS XS3205843702 EUR 3.875%   16/10/2031 98.82
TDC NET A/S XS3204746716 EUR 4.625%   22/10/2033 100.23
SPAREBANKEN NORGE BOLIGKREDITT XS3204229812 EUR 2.5%   15/10/2030 99.65
Public Investment Fund XS3204094893 EUR 3.375%   14/10/2032 99.54
Public Investment Fund XS3204094620 EUR 2.75%   14/10/2028 99.68
AZ Bank XS3204041266 EUR 3.706%   15/10/2035 100.53
Svedbank XS3203385227 EUR 3.25%   13/10/2032 100.33
ASTMI XS3203027654 EUR 3.375%   16/02/2032 100
CTP NV XS3202199066 EUR 3.625%   13/04/2032 99.94