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
Goldman Sachs US Bonds US38151LAF76 USD 5.283%   18/03/2027 100.446
Goldman Sachs US Bonds US38151LAE02 USD 0%   17/03/2027 100.246
Goldman Sachs US Bonds US36160YT620 USD 2.15%   26/04/2023 Echue
Goldman Sachs US Bonds US36160YUJ27 USD 2.2%   10/05/2023 Echue
Goldman Sachs US Bonds US36160YV360 USD 2.35%   14/06/2023 Echue
Goldman Sachs US Bonds US36160YVR34 USD 2.35%   07/06/2023 Echue
Goldman Sachs US Bonds US36160YWD39 USD 2.45%   21/06/2023 Echue
Goldman Sachs US Bonds US36160YXD20 USD 2.9%   19/07/2023 Echue
Goldman Sachs US Bonds US38143ATQ84 USD 2.75%   31/05/2022 Echue
Goldman Sachs US Bonds US38147JKN18 USD 3%   14/08/2023 Echue
Goldman Sachs US Bonds US38147JVF64 USD 1.5%   25/03/2022 Echue
Goldman Sachs US Bonds US38148JHF12 USD 3.1%   14/01/2025 Echue
Goldman Sachs US Bonds US38148JTG66 USD 3%   13/05/2025 Echue
Goldman Sachs US Bonds US38148PPJ02 USD 2.4%   13/09/2022 Echue
Goldman Sachs US Bonds US38148PTQ09 USD 2.5%   29/11/2022 Echue
Goldman Sachs US Bonds US38149M6V04 USD 2.7%   13/05/2024 Echue
Goldman Sachs US Bonds US38149MA295 USD 1.05%   22/09/2026 100
Goldman Sachs US Bonds US38149MYB35 USD 1%   11/08/2026 100
Goldman Sachs US Bonds US38149MYS69 USD 1.05%   25/08/2026 100
Goldman Sachs US Bonds US38149MZJ51 USD 1.05%   08/09/2026 100
Goldman Sachs US Bonds US38150VGS25 USD 5.1%   02/05/2024 Echue
Goldman Sachs US Bonds US38150VHB80 USD 5.15%   07/05/2024 Echue
Goldman Sachs US Bonds US38150VHE20 USD 5.1%   14/05/2024 Echue
Goldman Sachs US Bonds US38150VMX46 USD 5.5%   04/10/2024 Echue
Goldman Sachs US Bonds US38150VNN54 USD 5.5%   22/10/2024 Echue
Goldman Sachs US Bonds US38150VNY10 USD 5.45%   29/10/2024 Echue
Goldman Sachs US Bonds US38150VPG85 USD 5.4%   14/08/2024 Echue
Goldman Sachs US Bonds US38150VPN37 USD 5.4%   21/08/2024 Echue
Goldman Sachs US Bonds US38150VPQ67 USD 5.35%   19/11/2024 Echue
Goldman Sachs US Bonds US38150VQE29 USD 5.15%   10/12/2024 Echue
Goldman Sachs US Bonds US38150VQK88 USD 5.2%   17/12/2024 Echue
Goldman Sachs US Bonds US38150VQL61 USD 5.15%   19/09/2024 Echue
Goldman Sachs US Bonds US38150VQQ58 USD 5%   17/12/2024 Echue
Goldman Sachs US Bonds US38150VQR32 USD 4.9%   23/12/2024 Echue
Goldman Sachs US Bonds US38150VRG67 USD 4.75%   09/07/2024 Echue
Goldman Sachs US Bonds US38150VRH41 USD 4%   09/01/2026 100
Goldman Sachs US Bonds US38150VRS06 USD 4.6%   16/01/2025 Echue
Goldman Sachs US Bonds US38150VRX90 USD 4.6%   22/01/2025 Echue
Goldman Sachs US Bonds US38150VSG58 USD 5.2%   28/06/2024 Echue
Goldman Sachs US Bonds US38150VSK60 USD 5.15%   08/04/2025 Echue
Goldman Sachs US Bonds US38150VSL44 USD 5%   08/04/2025 Echue
Goldman Sachs US Bonds US38150VSN00 USD 5%   09/01/2025 Echue
Goldman Sachs US Bonds US38150VSP57 USD 5.1%   09/10/2024 Echue
Goldman Sachs US Bonds US38150VSY64 USD 5.2%   23/10/2024 Echue
Goldman Sachs US Bonds US38150VTA79 USD 5.05%   22/04/2025 Echue
Goldman Sachs US Bonds US38150VTC36 USD 5.2%   22/04/2025 Echue
Goldman Sachs US Bonds US38150VUX53 USD 5.4%   11/06/2025 Echue
Goldman Sachs US Bonds US38150VVU06 USD 4.85%   23/07/2025 Echue
Goldman Sachs US Bonds US38150VXM61 USD 4.25%   03/09/2025 Echue
Goldman Sachs US Bonds US38150VXS32 USD 4.2%   10/09/2025 Echue
Goldman Sachs US Bonds US38150VXW44 USD 4.4%   17/06/2025 Echue
Goldman Sachs US Bonds US40054PJF36 USD 5.27%   05/07/2023 Echue

Goldman Sachs Bank USA Bonds represent debt securities issued by Goldman Sachs Bank USA, offering investors a fixed income stream and varying levels of risk and return depending on the specific bond's maturity, coupon rate, and credit rating.

Les obligations Goldman Sachs Bank USA sont des titres de créance émis par Goldman Sachs Bank USA, dont la valeur et le rendement sont influencés par la solvabilité de la banque et les conditions générales du marché obligataire.

I titoli obbligazionari di Goldman Sachs Bank USA rappresentano debito emesso dalla banca, offrendo ai detentori un flusso di pagamenti di interessi concordati in cambio di un prestito di capitale.