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
Pfizer & Co. US71713UAW27 USD 6.6%   30/11/2028
Croatica HRRHMFT708N4 EUR 0%   25/02/2027 100
Vitera Finance B.V. USN9354LAE13 USD 4.9%   20/04/2027 100
El Paso Energy Corp US28368EAA47 USD 8.05%   14/10/2030
Wrangler Holdco Corp USU3153QAA68 USD 6.625%   31/03/2032 100
ING Groep XS3299537426 EUR 3.002%   25/02/2035 100
Glasgow Corporation GB0003712451 GBP 6.75%   00/00/0000 Echue
Endurance Specialty Holdings Ltd US29267HAA77 USD 7%   14/07/2034
Francia FR0129545028 EUR 0.6%   26/07/2026 100
SAREB Bonds ES0352506499 EUR 0%   28/02/2027 100
Intesa Sanpaolo Obbligazioni IT0005695850 USD 9%   20/02/2038 100
Eurobank Reconstruction Development XS3302781029 EUR 0%   25/02/2029 100
Natixis Structured Finance FR0014004DZ7 EUR 0%   30/07/2029
Enexis Holding XS3299702137 EUR 3%   25/02/2032 100
Bayern Landesbank DE000BYL0G94 EUR 2.15%   23/02/2028
OP Yrityskassi Oyj XS3255372727 EUR 0.05%   14/09/2026 100
Clark County Nevada US180848FS74 USD 6.754%   30/06/2038 100
FreddieMac Bonds US3128X2Q732 USD 5.75%   29/03/2019 Echue
Canada Export Development US30216BHE56 USD 0%   18/10/2019 Echue
Belarusia BYM000001941 USD 6.2%   28/02/2030 Echue
Vodafone Plc US92857WAQ33 USD 6.15%   26/02/2037 110.28
Zigong Construction Engineering XS2957377430 USD 0%   10/12/2027 100
Singapura SGXF45447632 SGD 0%   01/04/2029 100
Filipinas PHY6972HMZ64 PHP 0%   13/10/2029 100
Israëli IL0012035791 ILS 0%   30/09/2027 100
Israëli IL0012023326 ILS 0%   30/03/2035 100
Israëli IL0011948028 ILS 0%   28/02/2029 100
Indonesie IDP000005902 IDR 0%   15/07/2041 100
Belarusia BYM000002469 USD 6.2%   28/02/2030 Echue
Wells Fargo & Company US94988J6F93 USD 0%   11/12/2026 101.083
Mexica MXBIGO000Y59 MXN 0%   02/09/2027 100
Mexica MXBIGO000XE8 MXN 0%   18/03/2027 100
Mexica MXBIGO000X68 MXN 0%   21/01/2027 100
Rexford Industrial Properties US76169XAB01 USD 0%   01/09/2031 88.492
Brazilia BRSTNCLTN8M2 BRL 0%   31/03/2028 100
Mexica MXBIGO000XW0 MXN 0%   07/07/2027 100
Brazilia BRSTNCLTN806 BRL 0%   01/01/2029 100
Stendörren Fastigheter AB SE0013042413 SEK 0%   Perpétuelle 100
Brazilia BRSTNCLTN8K6 BRL 0%   30/06/2029 100
Iberdrola Energía AU3CB0315810 AUD 0%   28/11/2034 100
Belarusia BYM000002410 USD 6.378%   24/02/2031 Echue
Mexica MXBIGO000XO7 MXN 0%   12/05/2027 100
Belarusia BYM000002154 USD 7.625%   29/06/2027 Echue
Mexica MXBIGO000YK3 MXN 0%   22/12/2027 100
Brazilia BRSTNCLTN8F6 BRL 0%   30/06/2028 760.95
Wells Fargo National Bank US94988J6D46 USD 0%   06/08/2026 100
Leidox US808626AG02 USD 0%   01/07/2033 103.113
Mexica MXBIGO000UU0 MXN 0%   09/07/2025 Echue
Wells Fargo & Company US94988J6H59 USD 0%   15/01/2026 Echue
Brazilia BRSTNCLTN8L4 BRL 0%   30/09/2027 100
NORDLB Obligations DE000NLB52W8 EUR 2.5%   27/02/2031 100
Chattanooga Health US162410EJ98 USD 0%   01/08/2037 100
Mexica MXBIGO000WO9 MXN 0%   30/09/2026 100
Flüssliche Gemeinschaft BE0390296656 EUR 3.375%   21/06/2036 100.21
Austria Bond AT0000A3QTQ6 EUR 0%   27/05/2026 99.52
Goldman Sachs & Co. US38145GAU40 USD 5.387%   01/02/2041 99.57
UniCredit Bank CZ/SK a.s. XS3300299354 EUR 2.75%   23/02/2031 99.96
KBC FIM XS3299556996 EUR 0%   23/02/2028 99.98
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer Inc USU7468CAA81 USD 3.625%   28/02/2029 95.94
Motiva Enterprises LLC USU61999AC95 USD 6.85%   14/01/2040 109.85
Meitu USG59669AE46 USD 4.5%   01/04/2028 100.44
Zh?ngguó US712219AC86 USD 9%   15/01/2096 100
Newmark Group Inc US65158NAD49 USD 7.5%   11/01/2029 100
Ovintiv Inc US651290AR99 USD 5.375%   31/12/2025 Echue
Crédit Agricole Secteur Public SCF FR0014015F81 EUR 3%   15/01/2033 101.06
Williams Corporation US969457CW87 USD 5.95%   14/03/2056 100
BPCe FR001400O671 EUR 4.875%   25/02/2036 105.07
Sibanye Aurum XS2725834043 USD 4.25%   28/11/2028 100
Intesa San Paolo XS2725962638 USD 7.8%   28/11/2053 100
South Dakota Health and Educational Facilities Authority Bonds US83755VL515 USD 3.693%   01/07/2042 100
South Central Connecticut Regional Water Authority Bonds US837227H919 USD 6.393%   01/08/2040 100
South Central Connecticut Regional Water Authority Bonds US837227H836 USD 6.243%   01/08/2030 100
University of Houston Bonds US914302CD42 USD 5%   15/02/2027 100
SouthWest Power Company US845437BQ42 USD 3.85%   01/02/2048 100
Spartanburg Regional Health Services District US847113CE59 USD 4.23%   14/04/2038 100
University of Houston Bonds US914302MW13 USD 5.272%   15/02/2055 100
University of Michigan Securities US914455VJ63 USD 3.599%   01/04/2047 100
University of Minnesota Bonds US914460RA04 USD 5%   01/12/2030 100
University of Nebraska Facilities Corp. Bonds US914639KY41 USD 3.037%   01/10/2049 100
University of North Carolina at Chapel Hill Bonds US914713J290 USD 3.596%   01/12/2033 100
University of Oregon Bonds US914767AJ79 USD 5%   01/04/2036 100
University Texas University Revenues US9151375F67 USD 5.134%   14/08/2042 100
University of Oregon Bonds US914767AL26 USD 5%   01/04/2046 100
Uptown Development Authority US916856HH30 USD 3.464%   31/08/2040 100
University Virginia University Revenues US915217XF53 USD 2.256%   31/08/2050 100
Wayfair Incorporated Bonds US94419LAP67 USD 3.25%   14/09/2027 93.97
Utility Debt Securitization Authority Bonds US91802REM79 USD 5%   15/12/2041 100
Vasa Trust 2021-VASA Bonds US92230AAA43 USD 0%   15/04/2039 100
VEREIT Operating Partnership US92340LAC37 USD 3.95%   15/08/2027 100
VEREIT Operating Partnership US92340LAF67 USD 3.4%   14/01/2028 100
Verisk Insights US92345YAG17 USD 3.625%   15/05/2050 100
Vertex Bonds US92538JAB26 USD 0.75%   01/05/2029 100
Verus Securitization Trust 2024-6 Bonds US92540JAC62 USD 6.154%   25/07/2069 100
Village Community Development District №12 Bonds US92708FAH10 USD 4.25%   01/05/2043 100
Community Development District №14 Bonds US92708JAE01 USD 5.5%   01/05/2053 100
Virgin Islands Public Finance Authority Bonds US927676TM83 USD 5%   01/10/2039 100
Virgin Islands Water and Power Authority Bonds US927688FZ98 USD 6.85%   01/07/2035 100
Virginia College Building Authority Bonds US92778WKT26 USD 0.94%   01/09/2027 100
Virginia College Building Authority Bonds US92778WKV71 USD 1.33%   01/09/2029 100