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
Swiss Reinsurance Corp Via Elm BV XS2217310007 USD 0%   08/02/2022 Echue
ING Groep US44987CAM01 USD 2.75%   22/03/2021 Echue
Nihon Expressway Finance Bonds JP370620BJB8 JPY 0.676%   30/11/2038 100
IFCI Bonds INE039A09ND0 INR 10%   30/04/2021 Echue
ING Bank Bonds HK0001136446 CNY 2.54%   30/04/2030 100
Canadian Imperial Bank XS1262879338 GBP 0%   20/07/2018 Echue
Canadian Imperial Bank XS1262878793 GBP 0%   20/07/2018 Echue
Canadian Imperial Bank XS1892112951 GBP 0%   11/10/2019 Echue
RWE Energie XS3430748676 EUR 4%   05/07/2037 100
CBIC XS2916456663 GBP 4.364%   09/10/2029 100
JBS Financial USA USL56608AM12 USD 6.5%   30/11/2052 98.55
Crédit Agricole SA US22536PAP62 USD 5.23%   09/01/2029 100
Générale Société Anonyme US83368RBD35 USD 2.889%   08/06/2032 100
Générale Société US83368RBH49 USD 2.797%   19/01/2028 99.076
Générale Société Anonyme US83368RCS94 USD 4.857%   06/07/2029 100
Générale Société US83368RBC51 USD 1.792%   09/06/2027 100
Societe Généralia Bonds FR0128480441 EUR 0%   31/03/2025 Echue
Générale Société US83368TCQ94 USD 5.371%   27/05/2032 100.225
Crédit Agricole SA US22535WAV90 USD 5.186%   01/08/2032 99.934
Crédit Agricole SA US22534PAE34 USD 5.589%   05/07/2026 Echue
BNP Paribas Cardif Bonds FR0014018PR8 EUR 4.875%   26/11/2046 100
Hessen-Thüringen Landesbank DE000HLB45X2 EUR 1.85%   06/09/2024 Echue
LBBW DE000LB09PR3 EUR 0.05%   11/11/2021 Echue
Générale Société S.A US83368RBQ48 USD 6.447%   11/01/2027 100.134
Germania DE000BU0E436 EUR 0%   14/07/2027 100
Générale Société US83368TCS50 USD 4.857%   07/07/2029 100
Goldman Sachs Europe Bank SE XS3391470278 EUR 0%   24/06/2029 100
Groupe BPCE US05571ABJ34 USD 5.773%   02/06/2037 99.376
RWE Energie XS3430748759 EUR 3.375%   05/07/2032 100
Westminster National Bank PLC XS2642464312 GBP 4.247%   21/06/2028 100
Stadshypoteket Bonds NO0013010363 NOK 0%   09/10/2028 100
Mercedes-Benz Konzern US233851DN15 USD 3.75%   05/11/2021 Echue
German Bank Bonds DE000DB7XGQ3 USD 0%   26/05/2015 Echue
Alba 15 SPV SrL Bonds IT0005710758 EUR 0%   27/04/2046 100
Fresenius AG XS3435670222 EUR 3.75%   08/07/2034 100
Fresenius AG XS3435668325 EUR 3.375%   08/07/2031 100
Agence France Développement Bonds FR0014019PG9 GBP 4.5%   22/10/2029 100
TD Bank Group CA89117GK301 CAD 5.423%   09/07/2026 Echue
Belgium Kingdom BE0312826010 EUR 0%   06/08/2027 100
Orlen Group XS3430816002 EUR 3.75%   06/07/2033 100
Heracles Capital Bonds US427096AE20 USD 4.375%   01/02/2022 Echue
Amazone.com US023135EF90 USD 6%   09/07/2046 100
Japan Development Bank Bonds JP372155CG79 JPY 0.06%   17/07/2026 100
Istituto per il Credito Sportivo Bonds IT0005720468 EUR 3.5%   08/07/2031 100
First Group Bonds AT0000A3VEB0 EUR 3.5%   07/07/2036 100
Heidelberger Baustoffe XS3074499511 EUR 3%   09/07/2030 98.2
Azure Owl Income USU0942DAH27 USD 6.55%   15/10/2031 100
Ford Motor Credit US34540TM414 USD 6.5%   20/06/2032 100
Meta Platforms Inc. US30303MAL63 USD 6.45%   15/05/2066 100
NORDLB Obligations DE000NLB5438 EUR 3%   06/07/2031 100
NORDLB Obligations DE000NLB5420 EUR 2.9%   07/07/2030 100
NORDLB Obligations DE000NLB5404 EUR 2.7%   06/07/2028 100
Hessen-Thüringen Landesbank XS1071847245 EUR 1.125%   27/05/2021 Echue
Baxter Global Corp US071813CS61 USD 2.539%   31/01/2032 100
Tesco plc XS1082970853 EUR 1.375%   01/07/2019 Echue
Crédit Agricole SA FRCASA011017 EUR 0%   07/10/2036 100
Slovenská Exportno-Rozvojová Banka XS3411892170 EUR 3.021%   22/06/2031 98.36
Societe Généralia Bonds FR0014019PT2 EUR 0%   07/07/2028 100
Norddeutsche Landesbank DE000NLB5412 EUR 2.8%   08/07/2029 98.94
NatWest Markets Ltd XS2849670208 USD 4.746%   07/01/2029 100
Générale Société XS2108122024 EUR 0%   07/02/2022 Echue
Hessen-Thüringen Landesbank XS1071845116 EUR 0.375%   26/05/2017 Echue
BpiFrance Financement FR0129781433 EUR 0%   04/06/2029 100
Flemish Community BE0390366384 EUR 4%   28/03/2041 100
Avianca Midco 2 USG2957NAF80 USD 10.25%   06/01/2032 100
Société Foncière de Financement FR0014019MS1 EUR 2.875%   05/07/2029 99.86
Cie De Financement Foncier Bonds FR0014019MR3 EUR 3.25%   05/07/2034 100
Mediterráneo Generación USP46214AM77 USD 4%   30/06/2036 100
Germania DE000BU2Z072 EUR 3%   15/08/2036 100
UniCredit Bank Austria AG AT000B044755 EUR 2.5%   23/06/2031 100
Swiss Credit (New York Branch) US22546QAN79 USD 2.3%   28/05/2019 Echue
Vonovia AG XS3423368417 EUR 4.375%   05/07/2038 100
Vonovia AG XS3423369571 EUR 4%   05/01/2035 100
Vonovia AG XS3423368334 EUR 3.5%   05/07/2031 98.83
Volvo Treasure XS3425746453 JPY 2.114%   03/07/2029 100
BNY Mellon & Co. US064058AS96 USD 5.625%   Perpétuelle 100
BNY Mellon & Co. US064058AN00 USD 6.3%   Perpétuelle 100
Ally Financial Bonds US02005NCB47 USD 7.1%   Perpétuelle 100
CCO Group US1248EPCT83 USD 7.375%   01/03/2031 100
CCO Group US1248EPCQ45 USD 4.75%   01/02/2032 100
BNY Mellon & Co. US06406RCM79 USD 5.085%   22/04/2037 100
BNY Mellon Corp US06406RCK14 USD 0%   21/01/2030 100
BNY Mellon Corp US06406RCD70 USD 4.18%   08/06/2028 100
BNY Mellon & Co. US06406RBY27 USD 0%   21/07/2028 100
Montreal Bank US06368MS705 USD 5.289%   02/06/2037 100
CBIC US13607Q3Z34 USD 4.73%   15/06/2029 100
Dominion Power US25746UEC99 USD 6.15%   15/12/2056 100
Goldman & Sachs US38141GE916 USD 0%   20/04/2030 100
Goldman & Sachs US38141GF335 USD 4.972%   02/06/2032 100
ArkemaLink FR001400ORA4 EUR 4.8%   Perpétuelle 100
JPMorgan Chase & Co. US46647PFH47 USD 4.509%   21/01/2032 100
Huntington Bankcorp US446150BG87 USD 6.25%   Perpétuelle 100
JPMorgan Chase US46647PFN15 USD 0%   23/04/2030 100
JPMorgan Chase US46647PFP62 USD 5.148%   23/04/2037 100
Morgan Stanleigh US61747YFW03 USD 4.939%   11/04/2029 100
Morgan Stanleigh US61748UAJ16 USD 4.693%   17/10/2029 100
BNP Paribas SA CH1450810192 CHF 1.355%   26/08/2035 99.28
Zurick Cantonnal Banc Bonnds CH1319968553 CHF 2%   21/03/2030 100
Dominion Power US25746UED72 USD 6.25%   15/12/2056 100