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
Helaba Obligations XS3305824990 EUR 3.2%   26/04/2032
Francia FR0129437580 EUR 0%   00/00/0000 Echue
OP Yrityskassi Oyj XS3255372727 EUR 0.05%   14/09/2026
Banque Fédérale du Crédit Mutuel FR0128609452 EUR 0%   14/10/2024 Echue
Régie Autonome des Mobilités Parisiennes FR0128295088 EUR 0%   30/01/2024 Echue
Banque Populaire Valfrance FR0127890749 EUR 3.5%   03/03/2024 Echue
BPCe FR0127869644 EUR 0%   16/02/2024 Echue
Banque Palatine Privée FR0127850669 EUR 2.5%   02/02/2024 Echue
Carrefour Finance FR0127688366 EUR 0%   17/04/2023 Echue
BNP Paribas SA FR0127639112 EUR 0%   04/07/2023 Echue
Nykredit Bank AS XS2582545898 EUR 0%   27/07/2023 Echue
Belfius Banque BE6327723258 EUR 0.75%   23/03/2026 Echue
La Poste Banque FR0129516540 EUR 3%   25/11/2026
Santander Consumer Credit SA XS2689234974 EUR 0%   05/01/2024 Echue
Agence Centrale Organisation Sécurité Sociale XS2659224906 EUR 0%   25/01/2024 Echue
Svenska Handelsbankan AB FR0127638858 EUR 0%   15/06/2023 Echue
North Rhine-Westphalia Bonds SK4000028858 EUR 0.5%   25/11/2039
Générale Société Anonyme XS0917435314 EUR 2.9%   17/04/2023 Echue
Hypobank Burgenland AG AT0000A352V3 EUR 3.534%   22/07/2024 Echue
Infrastrutture Wireless Italiane S.p.A XS3277823715 EUR 3.75%   31/03/2030
Direction Gironde FR001400P991 EUR 3.635%   05/04/2038 100
Centre-Loire-Val FR001400L3W8 EUR 4.286%   24/03/2025 Echue
FCT Ginkgo Lending 2023 FR001400KX37 EUR 4.645%   25/09/2030 100
Santander Bank XS2642530047 USD 0%   29/10/2027 Echue
Morgan Stanley Nederland FR0013152915 EUR 0%   04/05/2026
UniCredit Bank AG DE000HV2A1L8 EUR 1.8%   12/02/2031
Deutsch Bank AG DE000A460QA2 EUR 3.98%   10/02/2061
Belfius Banque BE6337539447 EUR 2.2%   12/09/2025 Echue
Belfius Banque BE6329509655 EUR 0.68%   26/07/2029 Echue
Crédit Agricole Finance Consommateurs S.A. FR0129547586 EUR 2.875%   04/01/2027
Roquette Frères S.A FR0129545234 EUR 0.714%   23/02/2026
Santander Bank XS2817323749 EUR 7%   Perpétuelle 108.55
Maltese Bonds MT3100018311 EUR 0%   26/03/2026 100
UniCredit Obligations IT0005691305 EUR 2.95%   26/01/2031 100
BWM XS3282973455 EUR 0%   29/01/2028 100
OTP Bank XS3281761901 EUR 3.625%   03/02/2032 100
Sparkasse Oberosterreich Bonds AT000B101571 EUR 3.8%   20/11/2029 100
Slovenska Sporitelna a.s. SK4000028726 EUR 2.875%   22/01/2032 100
Caixa Central-Caixa Central de Crédito Agrícola Mútuo CRL PTCCCPOM0003 EUR 3.25%   28/01/2031 100
Maltese Bonds MT3400010414 EUR 0%   21/01/2027 100
Maltese Bonds MT3300011298 EUR 0%   05/11/2026 100
Baden-Württemberg Landesbank Bonds FR0129516607 EUR 2.5%   28/02/2030 100
Caisse de Refinancement Bonds FR0014015FV7 EUR 3.375%   16/01/2036 101.32
Autonoria DE 2025 Bonds FR0014013Z63 EUR 0%   25/04/2046 100
Centre Hospitalier La Palmosa Bonds FR0014012IT2 EUR 0%   26/09/2050 100
Hamburg Bonds DE000A3MQTP1 EUR 2.125%   14/02/2028 100
Hamburg Hansestadt DE000A3MQTL0 EUR 0%   19/01/2028 100
Baden-Wurttemberg Bonds DE000A3H2572 EUR 0%   18/01/2032 100
Hessen Fonds DE000A1RQFA5 EUR 3.05%   10/01/2036 100
Austria Bond AT0000A3RVH9 EUR 3.2%   20/02/2036 100
Raiffeisenlandesbank Oberosterreich Bonds AT0000A3RHQ9 EUR 3.5%   16/01/2032 100
Agrarrentenbank XS3276317990 USD 4%   21/01/2033 100
Hamburg Bonds DE000A3MQTM8 EUR 0%   19/01/2031 99.83
Landeskreditinstitut Baden-Wurttemberg-FORDERBANK Bonds DE000A352Q36 EUR 3.605%   28/01/2054 100
Oberösterreichische Sparkassen AG AT000B101514 EUR 3.375%   24/10/2027 100
Wiederaufbaukreditanstalt DE000A4DFU63 EUR 3%   20/01/2036 100
DZ HYP GMBH DE000A4DFKR6 EUR 2.475%   14/11/2028 100
Wiederaufbaubank DE000A4DFU97 EUR 0%   25/01/2056 100
Slovenija SI0002504189 EUR 0%   13/05/2026 100
Slovenija SI0002504148 EUR 0%   08/07/2026 100
Slovenija SI0002504130 EUR 0%   08/04/2026 100
Lusitania PTPBTZGE0032 EUR 0%   21/01/2027 100
KFW Bond DE000A4DFU55 EUR 0%   20/01/2056 100
Tatra Banka Bonds SK4000028767 EUR 4%   30/01/2032 100
Tatrabank AS SK4000028536 EUR 2.75%   08/12/2033 100
Tatra Banka Bonds SK4000028528 EUR 2.5%   09/12/2029 100
Slovenija SI0002504197 EUR 0%   12/08/2026 100
Maltese Bonds MT3100018360 EUR 0%   30/04/2026 100
Maltese Bonds MT3300011280 EUR 0%   29/10/2026 100
Maltese Bonds MT3300011272 EUR 0%   08/10/2026 100
Maltese Bonds MT3200017163 EUR 0%   16/07/2026 100
Maltese Bonds MT3200017155 EUR 0%   02/07/2026 100
Maltese Bonds MT3200017130 EUR 0%   11/06/2026 100
BPCe FR0014012BD1 EUR 3.125%   04/09/2030 100
Canada Export Development XS3281146749 EUR 2.625%   28/01/2031 100
EP Infrastructures XS3281145691 EUR 4.375%   29/01/2034 100
Bulgarie BG2040025210 BGN 3.25%   28/01/2032 100
DZ Hyp Bonds DE000A4DFKQ8 EUR 3.125%   28/02/2036 100
Germany Bonds DE000BU4K120 EUR 0%   15/05/2047 100
Intesa Sanpaolo SpA XS3258456782 EUR 2.625%   22/12/2027 100
Aktia Bank Ltd XS3256144802 EUR 2.977%   18/12/2028 100
NIBC Banque XS3253366689 EUR 0.69%   28/09/2026 100
Nederlandse Gemeentebank XS3251688381 EUR 3.933%   04/02/2056 100
Nordic Invest Bank XS3249931000 EUR 2.431%   10/12/2030 100
NorthInvest Bank XS3249928808 EUR 2.176%   11/12/2028 100
JDE Peet's XS3248357926 EUR 0%   11/12/2027 100
Luxembourg International Bank S.A. XS3247613907 EUR 4.12%   10/12/2043 100
Toyota Financial Services Netherlands XS3209308041 EUR 0%   10/12/2027 100
America Mobil XS3194135706 EUR 3%   30/09/2030 100
Kommuninvest Sverige XS3170900131 EUR 2.625%   31/08/2032 100
EnBW Global Finance B.V. XS2993364178 EUR 4%   05/02/2045 100
365.bank XS2854419277 EUR 7.125%   04/07/2028 100
Eurogrid AG XS2708709618 EUR 3.722%   26/04/2030 100
American Honda Motor XS0967299016 EUR 1.875%   04/09/2019 Echue
ScotiaBank XS3276317487 EUR 2.973%   21/01/2033 100
Sparkassen Pforzheim-Calw DE000A460QE4 EUR 2.5%   10/02/2030 100
Hamburger Sparkasse GmbH DE000A460NT9 EUR 1.5%   19/10/2027 100
Mecklenburg-Vorpommern Gebiet DE000A460F53 EUR 2.95%   29/01/2034 100
Ampricon GmbH DE000A460EZ5 EUR 4.58%   14/01/2046 101.85