Liste d'obligations internationales ( Toutes )

EmetteurPays
Coupon minCoupon maxTranche minimale <= Devise
Prix minPrix maxEcheance minEcheance max
Exclure échuesExclure en défaut



Société émettrice Code ISIN Devise Coupon Montant minimal Maturité Prix sur le marché
Union Nationale Interprofessionnelle de l'Industrie et du Commerce FR0014017VS6 EUR 3.25%   24/05/2032
Slovenija SI0002105318 EUR 0%   07/10/2027
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
Coca-Cola HBC Finance XS3326476523 EUR 4%   01/10/2033
Nederlandse Ontwikkelingsfinanciering N.V. XS3343290204 GBP 0%   15/10/2028
EurBank SA XS3344454619 EUR 3.375%   16/07/2029
Japan International Cooperation Bank XS3352075058 EUR 4.25%   21/04/2031
KBC Bancorp N.V. BE0390307768 EUR 3.03%   19/10/2030
Coca-Cola Hellenic Finance B.V. XS3326474155 EUR 3.625%   30/09/2030
Coca-Cola Hellenic Finance B.V. XS3326473694 EUR 3.375%   30/09/2028
Francia FR0014017Z10 EUR 3.8%   24/06/2037
Kommerzbank AG DE000CZ46CE9 EUR 2.875%   15/04/2029
Kommerzbank AG DE000CZ46CD1 EUR 3.125%   13/01/2033
BKS Banking AG AT0000A3T261 EUR 3.475%   09/03/2031
HeartComms Inc US45174HBG11 USD 4.75%   14/01/2028
Cogent Communications Group LLC/Cogent Finance Inc US19240WAA71 USD 7%   14/06/2027
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 101.17
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 110.74
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
Tsubaki Nakashima Bonds JP353441AM93 JPY 1.3%   27/09/2051 100
Graecia GR0000247537 EUR 0%   09/07/2026 100
Veolia Environnement Obligations FR0014017P12 EUR 3.69%   09/04/2031 100.73
Veolia Environnement Obligations FR0014017P04 EUR 4.122%   09/04/2036 100.27
GA Global Finance Trust US36143L2C81 USD 0.8%   12/09/2024 Echue
Citigroup Global Markets Finance Luxembourg S.C.A. XS3159445546 EUR 0%   25/03/2031 100
NorthInvest Bank XS2464041941 GBP 1.125%   18/06/2025 Echue
Green Lion 2026-1 B.V XS3248359112 EUR 0%   22/01/2062 100
Avoca CLO XXIV DAC XS2344781252 EUR 2.916%   16/07/2034 100
Zenkyoren 1st Subordinated Loan Securitization Bonds JP342892AMA6 JPY 0.87%   25/10/2051 100
Aqueduct European CLO 3-2019 DAC XS2340854921 EUR 2.914%   14/08/2034 100
BNG Bank NV XS3336964369 EUR 3.25%   09/04/2036 100
KBC Bank NV BE0390304732 EUR 3%   09/04/2031 99.86
Hispania ES0L02704093 EUR 0%   09/04/2027 Echue