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
Rosnefte US77819RAA77 USD 4.199%   06/03/2022 Echue
Slovenija SI0002504270 EUR 0%   08/10/2026 100
Eurazeo Bonds FR0014017VR8 EUR 4.625%   16/04/2031
Intesa San Paolo XS3343245919 EUR 3.48%   14/04/2030 100
Japan International Cooperation Bank XS3352075058 EUR 4.25%   21/04/2031 100.38
Rabbobank XS3349988942 EUR 3.987%   16/04/2056
Brazillian Bonds XS3344411726 EUR 5.5%   23/04/2036
Italia Bonds IT0005706285 EUR 3.8%   30/06/2036
Slovenija SI0002504288 EUR 0%   09/07/2026 100
Nordia Bank Abp XS3349986227 EUR 3.032%   19/10/2028 100
UniCredit Bank CZ/SK a.s. XS3224003650 EUR 2.58%   07/11/2032 100
Carmila S.A.S FR0014017V06 EUR 3.75%   12/01/2033 100
Région des Pays de la Loire FR0014017TD2 EUR 0%   19/04/2040 100
Italgas Energia IT0005704207 EUR 3.625%   15/04/2032
Softbank Corporation XS3344489672 EUR 7.375%   22/04/2034
Union Nationale Interprofessionnelle de l'Industrie et du Commerce FR0014017VS6 EUR 3.25%   24/05/2032 99.66
Slovenija SI0002105318 EUR 0%   07/10/2027 100
Piramal Finance INE202B07894 INR 10.7%   31/10/2023 Echue
Jana Capital Bonds INE028U08016 INR 5%   31/05/2023 Echue
Crédit Mutuel Home Loan SFH FR0014017W96 EUR 3.125%   17/11/2033 99.41
Coca-Cola HBC Finance XS3326476523 EUR 4%   01/10/2033 101.8
Nederlandse Ontwikkelingsfinanciering N.V. XS3343290204 GBP 0%   15/10/2028 100
EurBank SA XS3344454619 EUR 3.375%   16/07/2029 99.89
KBC Bancorp N.V. BE0390307768 EUR 3.03%   19/10/2030 100
Coca-Cola Hellenic Finance B.V. XS3326474155 EUR 3.625%   30/09/2030 100.86
Coca-Cola Hellenic Finance B.V. XS3326473694 EUR 3.375%   30/09/2028 100.68
Francia FR0014017Z10 EUR 3.8%   24/06/2037 100.11
Kommerzbank AG DE000CZ46CE9 EUR 2.875%   15/04/2029 100.09
Kommerzbank AG DE000CZ46CD1 EUR 3.125%   13/01/2033 99.89
BKS Banking AG AT0000A3T261 EUR 3.475%   09/03/2031 98.61
HeartComms Inc US45174HBG11 USD 4.75%   14/01/2028 100
Cogent Communications Group LLC/Cogent Finance Inc US19240WAA71 USD 7%   14/06/2027 99.5502
T-World 43rd Securitization Specialty Bonds KR633826G9A7 KRW 1.707%   28/02/2021 Echue
Nomura America Finance LLC US65539ABL35 USD 2.273%   23/12/2034 100
First Group Bonds AT0000A15K36 EUR 3.8%   10/02/2021 Echue
Aço Nacional Siderúrgica USL21779AD28 USD 7.625%   17/04/2026 Echue
Changsha City Yuhua Urban Construction Investment Group Bonds CND100043B73 CNY 3.89%   19/01/2024 Echue
Francia FR0129570620 EUR 0%   21/04/2027 100
SPAREBANKEN NORGE BOLIGKREDITT AS XS3343433085 EUR 2.875%   15/04/2031 100
Finland State FI4000602891 EUR 3.35%   14/09/2036 100
Germânia DE000BU22130 EUR 0%   13/06/2028 100
Ayvens & Co FR0014017YD2 EUR 3.375%   15/04/2029 100
European Council XS3344655512 EUR 3%   15/04/2033 100
KFWB XS3344416287 EUR 2.875%   29/06/2031 100
Allians USX10001AF65 USD 6.5%   Perpétuelle 100.45
AMRO ABN XS3344463792 EUR 2.875%   14/07/2031 99.18
ExpediGroup US30212PBM68 USD 5.5%   14/04/2036 99.35
V?eobecná Úverová Banka, a.s. SK4000029237 EUR 3.25%   13/10/2030 100
Maltese Bonds MT3100018477 EUR 0%   16/07/2026 100
CIF Euromortgage Bonds FR0010385906 EUR 4%   25/10/2016 Echue
Aktia Bank Ltd XS3344647840 EUR 0%   14/04/2030 100
Honda American Finance US02665WGY12 USD 5.2%   07/04/2033 100
Maltese Bonds MT3200017247 EUR 0%   15/10/2026 100
Polonia PL0000114914 PLN 6.75%   01/08/2032 Echue
Minerva Luxembourg USL6401PAP82 USD 7.5%   22/04/2036 99.1
France Énergie USF2940EAE26 USD 6.25%   22/04/2066 98.794
France Énergie USF2940EAD43 USD 6.125%   22/04/2056 98.984
France Énergie USF2940EAC69 USD 5.25%   22/04/2036 99.6675
France Énergie US285039AR43 USD 6.25%   22/04/2066 98.683
France Énergie US285039AQ69 USD 6.125%   22/04/2056 98.435
France Énergie US285039AP86 USD 5.25%   22/04/2036 99.249
Bank of Israel IL0082301123 ILS 0%   04/01/2023 Echue
Bank of Israel IL0082212106 ILS 0%   07/12/2022 Echue
Aktia Bank Ltd XS3343294537 EUR 0%   12/04/2028 100
IBRD-Global XS3298822688 EUR 1.95%   30/03/2031 100
Fulvia SPV IT0005695934 EUR 2.811%   23/12/2042 100
Ray Financial LLC XS2854278863 EUR 0%   14/07/2031 99.99
Kazakh Development Bank JSC XS2800066370 KZT 13%   14/04/2027 95.62
Piraeus Finance XS3201977595 EUR 6.125%   Perpétuelle 98.58
NZ Local Authority Funding Agency NZLGFDT016C5 NZD 2%   14/04/2037 74.02
OP Yrityskassi Oyj XS3338741211 EUR 0%   09/04/2028 100
Banner Health US06654DAD93 USD 1.897%   31/12/2030 100
Rabbobank XS3335717818 EUR 4.06%   08/04/2060 100
KommAustria AG AT0000A3TYA4 EUR 3.25%   14/04/2032 99.39
La Poste Express FR0129412682 EUR 0%   26/10/2025 Echue
ASN Bank XS3335806678 EUR 3.25%   12/04/2033 100.3
Italia Bonds IT0005704868 EUR 3.3%   14/06/2033 99.11
United States Bonds US91282CNB36 USD 1.651%   14/04/2030 101.2
United American States US91282CGW55 USD 1.25%   14/04/2028 100.11
Euro Union Bonds EU000A4ESJ04 EUR 0%   08/04/2027 97.55
Ayvens Bank XS2010839582 NOK 0%   26/07/2022 Echue
Xeroxx USU9840RAA06 USD 13.5%   14/04/2031 98
Communauté Francophone Belge BE6373227360 EUR 0%   07/04/2037 100
United American States US912810FQ68 USD 3.375%   14/04/2032 110.84
Dryden 77 CLO Ltd./Dryden 77 CLO LLC US26252VAS07 USD 0%   21/05/2034 100
Jamestown CLO XI Ltd US47049AAA97 USD 0%   13/07/2031 100
Italia IT0005704454 EUR 0%   14/07/2026 100
Freddy Mac US3132DV4T98 USD 5%   31/10/2049 100
Madison Park Funding XVIII Ltd./Madison Park Funding XVIII LLC US55819BAW00 USD 0%   20/10/2030 100
Komercní Banka AS XS3328489334 EUR 3.25%   09/10/2031 100
ConocoPhilips US20826FAY25 USD 4.025%   14/03/2062 77.089
Citigroup Mortgage Loan Trust 2021-J1 Bonds US17329EAR80 USD 2.5%   25/04/2051 100
Republic of Côte d'Ivoire XS3299474083 USD 6.75%   24/02/2041 93.67
Bluemountain CLO 2015-3A Bonds US09628JAL52 USD 0%   20/04/2031 100
Delamare Finance PLC XS0190043769 GBP 1.961%   19/02/2029 100
Rakuten Inc. JP396720CMC6 JPY 0.8%   30/11/2028 100
Italia IT0005704447 EUR 0%   14/04/2027 100
Yokohama Reito Bonds JP395700AM90 JPY 0.76%   27/09/2058 100
Narita Global Airport Securities JP365190BHC1 JPY 0.671%   18/12/2037 100