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
Manitoban CA563469TW53 CAD 3.35%   04/03/2043 86.05
HSBC Bonds GB00BQ181129 GBP 0%   08/09/2027 100
United Kingdom plc GB00BL6C7720 GBP 4.125%   28/01/2027 100.31
Kontrollbank AG AT0000A2R0Y3 EUR 4.105%   07/04/2025 Echue
DEUTSCHSPRACHIGE GEMEINSCHAFT IN BELGIEN BE6312721580 EUR 0.695%   13/08/2031 Echue
BNG Bank NV XS1865615030 EUR 1.88%   20/12/2062 Echue
Agence Nationale des Organismes de Sécurité Sociale XS3291754649 EUR 0%   24/02/2026 Echue
Crédit Agricole Finance Consommateurs S.A. FR0129649168 EUR 3.5%   31/05/2026 100
Iberdrola Global B.V. XS3310468502 EUR 1.262%   14/04/2026 100
Swiss Credit FR001400EOS4 EUR 0%   06/04/2033 100
UBG FR001400GBG1 EUR 0%   22/06/2033 100
TechnipFMC Global FR0011593300 EUR 3.15%   17/10/2023 Echue
Social Professional Loan Program Trust 2019-C Bonds US83401CAB00 USD 2.37%   16/11/2048 100
Solventis US83444MAA99 USD 5.45%   24/02/2027 100
Koreana KR101501DE79 KRW 0%   31/07/2029 100
State Street Corporation US857477CH48 USD 6.7%   Perpétuelle 100
Scandiabank AB SE0013359577 SEK 0%   23/04/2026 100
Al Rajhi Bank Sukuk SA15L00GHCJ9 SAR 5.5%   Perpétuelle 100
Perú PEP01000C4Q6 PEN 6%   11/02/2029 100
Agrarrentenbank NZLRBDT016C6 NZD 4.875%   28/06/2029 100
Public Islamic Bank Sukuk MYBVI2204862 MYR 4.5%   17/12/2027 100
SK Energy Bonds KR6138093D30 KRW 4.509%   07/03/2028 100
Fannie Mae US31418DPE66 USD 3%   30/04/2050 100
FN MA3574 Bonds US31418C6L37 USD 3.5%   31/12/2048 100
Fannie Mae US31418C6B54 USD 5%   31/12/2048 100
FN MA3521 Bonds US31418C4F86 USD 4%   01/11/2048 100
Eurobank Reconstruction Development US29875BAM81 USD 4.362%   21/07/2030 100
Vulpine Corp US35137LAK17 USD 5.576%   24/01/2049 100
FN MA4183 US31418DUH33 USD 2.5%   31/10/2050 100
Hyundai Capital Americas US44891CCX92 USD 5.3%   18/03/2027 100
BMW US Holdings USU09513JY62 USD 0%   01/04/2026 100.044
Landshypotek Finans AB SE0013360906 SEK 0%   10/01/2028 100
Euro Investment Bank US298785KN51 USD 3.75%   12/03/2031 100
FN MA3765 Bonds US31418DFF42 USD 2.5%   01/09/2049 100
Koreana KR101501DE20 KRW 0%   28/02/2029 100
Sumitomo Mitsui Trust Bond Holdings JP389210AP93 JPY 1.149%   15/09/2033 100
Berkshire Hathaway Inc. XS2456839369 EUR 2%   17/03/2034 100
Sumitomo Mitsui FG Obligations JP389035APA9 JPY 1.276%   30/10/2033 100
LPPSA Sukuk MYBVX1702493 MYR 5.05%   07/09/2037 100
Sveden SE0027099375 SEK 0%   16/12/2026 100
Cameron LNG USU1309CAA46 USD 2.902%   15/07/2031 90.151
BWM USU09513KT58 USD 0%   10/08/2027 100
Nippon JP1111611P94 JPY 0%   15/09/2033 100
Projek Lebuhraya Usahasama Sukuk MYBVS2205017 MYR 5.75%   12/01/2037 100
FN MA4158 Bonds US31418DTQ50 USD 2%   30/09/2050 100
Korea SMEs and Startups Agency Bonds KR351606GC73 KRW 3.768%   22/07/2027 100
Korea SMEs and Startups Agency Bonds KR351604GD74 KRW 3.95%   31/07/2026 100
Koreana KR101501DC97 KRW 0%   30/09/2027 100
Industrial Bank of Korea Bonds KR310517GD68 KRW 3.92%   19/06/2026 100
Industrial Bank of Korea Bonds KR310515GE85 KRW 3.12%   28/08/2027 100
Bimbos Bakeries USA USU0901RAA50 USD 4%   16/05/2051 100
AtriumInvest AB SE0013361508 SEK 0%   02/04/2028 100
Cargill International USU14178FM17 USD 4.625%   11/02/2028 101.536
Loomis AB SE0013360559 SEK 5.414%   29/11/2026 100
Kinnevik AB SE0013360534 SEK 0%   23/11/2026 100
BBVA Consumer 2026-1 Fondo de Titulización- ES0306017007 EUR 0%   19/05/2039 100
Italia IT0005645509 EUR 0%   13/04/2026 100
State Street Corporation US857477BV41 USD 4.164%   03/08/2033 100
Hyundai Capital Americas US44891CDA80 USD 5.45%   23/06/2026 100.28
Ontarian Province US683234AW86 USD 3.7%   16/09/2029 100
Major Joint Local Bond Bonds JP2990001P80 JPY 0.778%   25/08/2033 100
Miyazaki (prefecture) Bonds JP245000BHB0 JPY 0.578%   30/11/2037 100
Yamaguchi (prefecture) Bonds JP235000LK52 JPY 0.11%   30/05/2029 100
Sarawak Energy Sukuk MYBVS1200266 MYR 4.85%   18/01/2027 100
Projek Lebuhraya Usahasama Sukuk MYBVR2205001 MYR 5.63%   11/01/2036 100
Projek Lebuhraya Usahasama Sukuk MYBVQ2204998 MYR 5.51%   12/01/2035 100
Projek Lebuhraya Usahasama Sukuk MYBVP2204982 MYR 5.39%   12/01/2034 100
Maybank Sukuk MYBVN2400114 MYR 4.03%   31/01/2034 100
Perbadanan Tabung Pendidikan Tinggi Nasional Sukuk MYBVN2303094 MYR 3.95%   29/07/2033 100
Kuala Lumpur Kepong Sukuk MYBVN2201173 MYR 4.17%   16/03/2032 100
Urusharta Jamaah Sukuk MYBVN1900981 MYR 0%   30/05/2029 100
Projek Lebuhraya Usahasama Sukuk MYBVM2204955 MYR 5.07%   10/01/2031 100
CIMB Islamic Bank Sukuk MYBVK2400565 MYR 4.13%   27/03/2034 100
Projek Lebuhraya Usahasama Sukuk MYBVJ2204928 MYR 4.88%   12/01/2028 100
Cagamas Berhad Sukuk MYBVG2500305 MYR 3.81%   04/02/2028 100
KLCC Real Estate Bonds MYBVG2400704 MYR 3.73%   05/04/2027 100
IGB REIT Capital Bonds MYBUL2202680 MYR 4.49%   20/03/2030 100
Cagamas Berhad Bonds MYBUI2201142 MYR 3.78%   07/04/2027 100
Industrial Bank of Korea Bonds KR310505GD70 KRW 3.96%   13/07/2026 100
LPPSA Sukuk MYBVV2103398 MYR 4.27%   02/09/2039 100
Perbadanan Tabung Pendidikan Tinggi Nasional Sukuk MYBVS2400360 MYR 4.11%   07/03/2039 100
FN MA3771 Bonds US31418DFM92 USD 3%   01/09/2039 100
FN MA3746 Bonds US31418DEU28 USD 4%   01/08/2049 100
FN MA3745 Bonds US31418DET54 USD 3.5%   01/08/2049 100
Momox Holding SE NO0013414524 EUR 0%   17/12/2028 100
Kolibri Beteiligun NO0013461384 EUR 0%   12/02/2029 100
FN MA4055 Bonds US31418DQH88 USD 2.5%   31/05/2050 100
FN MA4021 Bonds US31418DPF32 USD 3.5%   30/04/2050 100
Meritz Financial Group Bonds KR6138041E32 KRW 4.046%   26/03/2026 100
UAMCO Bonds KR6131792DA8 KRW 5.013%   27/10/2026 100
Citibank Credit Card Issuance Trust US17305EGS81 USD 3.96%   14/10/2030 100
Intesa Sanpaolo SpA IT0005495244 EUR 5.532%   15/06/2032 100
Swedbank Hypotek Bonds SE0027099359 SEK 3%   27/08/2031 100
China Life Insurance Bonds TW000B9AK023 TWD 3.75%   25/07/2033 100
Turkiye TRT180827T19 TRY 3%   17/08/2027 100
Turkey Bond TRT151227T16 TRY 3%   14/12/2027 100
Turkiye TRD140229T15 TRY 27.58%   13/02/2029 100
Turkiye TRD061228T14 TRY 28.56%   05/12/2028 100
BAAC Bonds TH0651036608 THB 2.65%   10/06/2026 100