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
Euro Union Bonds EU000A4EBBP0 EUR 2.25%   13/08/2028
Sabadell Bank XS3037646661 EUR 6.5%   Perpétuelle
First Group Bonds AT0000A3M597 EUR 6.375%   Perpétuelle
National Mortgage Association US3622A3B417 USD 3.5%   31/08/2047 100
Heidelberger Baustoffe XS3074499511 EUR 3%   09/07/2030
GS Financial Corp Bonds US40054L3U65 USD 0%   29/04/2025 Echue
PREF FAT Brands Series B-Prime US30258N5014 USD 8.25% 25 USD 00/00/0000 2.74
Amazonian Woodlands Bonds PEP72660M020 USD 9.65625%   16/03/2027 100
Sur Luz Bonds PEP70252M259 PEN 6.6875%   05/06/2024 Echue
Engie Energía Perú Bonos PEP70210M091 PEN 6%   27/06/2024 Echue
Interseguro Bonds & Seguros PEP66450D098 USD 6.75%   20/11/2034 100
Interseguro Bonds & Seguros PEP66450D056 USD 6%   29/01/2029 100
Sembcorp Global SG6WJ5000005 SGD 4.75%   Perpétuelle 100
România XS2999546687 EUR 5.25%   09/03/2030 100.5
România RO4BEW3ZCCI4 EUR 5%   02/07/2029 100
Nomura Group Inc. US65535HAQ20 USD 3.103%   15/01/2030 91.67
Venture Global Plaquemines LNG Inc. USU91913AA89 USD 7.5%   30/04/2033 103.846
România XS2908712040 EUR 5.125%   23/09/2031 95.08
Accelerate Energy US30069UAA60 USD 8%   14/05/2030 102.777
România US77586RAW07 USD 7.5%   09/02/2037 99.92
România XS2999552909 EUR 6.25%   09/09/2034 99.37
România XS2999564235 EUR 6.25%   09/09/2034 100.47
Santander Bank XS2817323749 EUR 7%   Perpétuelle 104.98
T-Mobile America US87264ACP84 USD 2.7%   14/03/2032 77.68
BWM XS3075491152 EUR 2.625%   19/05/2028 99.99
Clessidra Funding Bonds IT0005650582 EUR 0%   19/05/2028 100
România ROKZLUKMGN59 EUR 5.45%   01/08/2028 100
Bread Financial Corp. USU01797AM85 USD 8.375%   14/06/2035 96.71
BNP Paribas SA FR0000047797 EUR 7.5%   Perpétuelle 575
România RO5W46FHTRU7 EUR 5.5%   19/12/2028 100
România XS3021376259 EUR 5.875%   10/07/2032 98.92
NaviCorp US63938CAQ15 USD 7.875%   14/06/2032 100.74
România XS2999533271 EUR 5.25%   09/03/2030 101
România US77586RAQ39 USD 6.625%   16/02/2028 102.06
Xerox USU9840RAA06 USD 13.5%   14/04/2031 96.79
România US77586RAP55 USD 6%   25/05/2034 100
România US77586RAS94 USD 7.625%   16/01/2053 96.45
România XS2908644615 EUR 5.125%   23/09/2031 95.98
România XS2908633683 USD 5.75%   23/03/2035 89.99
PennyMac Financial USU7089FAH56 USD 6.875%   14/05/2032 100.3
România US77586RAF73 USD 5.125%   15/06/2048 100
România US77586RAN08 USD 5.25%   25/11/2027 100
Xerox USU9841NAP51 USD 10.25%   14/10/2030 101.64
România US77586RAV24 USD 5.75%   23/03/2035 89.63
Apex Copper Corp USC2147KAA00 USD 6.75%   29/03/2033 100.26
România XS3021378461 EUR 6.75%   10/07/2039 97.14
WESTCO PREF US95082P3038 USD 0% 25 USD 30/06/2032 25.5
Pfitzer XS3019313363 EUR 2.875%   18/05/2029 100.52
Hessen-Thüringen Landesbank DE000HLB3BY7 EUR 1.3%   18/05/2031 91.8
Badenia-Wuerttemberg Bank DE000LB2V544 EUR 0.2%   18/05/2031 87.31
Aditya Birla Home Loans Securities INE831R07078 INR 7.8%   13/12/2019 Echue
AbbVie Inc. XS2117754916 EUR 1.25%   01/06/2024 Echue
Lumin Technologies US527298BU63 USD 10.5%   15/05/2030 100
Tesla Energy Operational Bonds US83417KFS24 USD 5.45%   14/01/2031 94.8
Prismian XS3076304602 EUR 5.25%   Perpétuelle 100
RailNet Infrastructure Finance PLC XS0759326266 GBP 0%   21/11/2047 100
Nexia Spa XS3077018714 EUR 3.875%   21/05/2031 100
BWM XS3075490188 EUR 3.25%   20/05/2031 100
ING Group XS3074495444 EUR 4.125%   20/05/2036 100
HSBC Global plc XS3073350269 EUR 4.191%   19/05/2036 100
Enispa XS3070657203 USD 5.75%   19/05/2035 100
Canadian Imperial Bank XS0965476095 EUR 2.006%   02/09/2025 100
Wiederaufbaubank XS0165694026 USD 0%   21/04/2033 100
Premier Residential Securities 5 PLC XS0217069813 GBP 0.854%   14/06/2043 100
JPMorgan Chase & Company XS0880244354 USD 0%   31/01/2043 100
Goldman Sachs Group Selection US38143Y6656 USD 0% 25 USD 10/08/2032 21.8
Maltese Bonds MT3100017149 EUR 0%   21/12/2023 Echue
Post Bonds FR001400KTU6 EUR 4%   12/06/2035 100
Banque Fédérative du Crédit Mutuel Obligations FR001400KMZ0 EUR 0%   08/09/2025 100
Fordon Motors US345370BS81 USD 7.7%   14/05/2097 101.5
Massachusets Institute of Technology US575718AK75 USD 5.618%   31/05/2055 100
Lehman & Co. US524909AW86 USD 7.5%   31/07/2026 100
BWM US05565EBJ38 USD 3.625%   17/04/2029 100
Cisco Systems Corp US17275RBT86 USD 5.05%   25/02/2034 100
ColgatePalmolive Inc. US194162AP89 USD 3.25%   14/08/2032 100
Aeg?n US00775V1044 USD 5.1%   14/12/2049 100
Lotte Non-Life Assurance Obligations KR60004019C6 KRW 5%   26/12/2029 100
WGZ Bank Obligations DE000WGZ0KW8 EUR 3.3%   30/03/2016 Echue
Kreschatyk Bank Obligations UA4000019681 UAH 0%   24/01/2013 Echue
PREF Cádiz Corp US1275373066 USD 8.875% 25 USD 15/07/2032 18.01
Babcock & Wilcox Enterprises Series Alpha US05614L4077 USD 7.75% 25 USD 30/06/2032 3.37
LuxUrbania US21985R2040 USD 13% 25 USD 31/05/2032 3.75
Canadian Imperial Bank XS2993461701 USD 4.15%   14/05/2028 100
Orango S.A. FR001400ZOS9 EUR 2.75%   18/05/2029 100
Volkswagon XS3071335478 EUR 5.994%   Perpétuelle 99.5
Wiener Städtische Versicherungs AG AT0000A1BD32 EUR 0%   22/12/2024 Echue
Volkswagon XS3071332962 EUR 5.493%   Perpétuelle 99.6
Bouches-du-Rhône Département FR0013169836 EUR 1.865%   09/05/2038 100
DZ Bank Obligations DE000DZ1J4A7 EUR 3%   21/11/2017 Echue
Nippon Bonds JP1051211EA9 JPY 0.1%   20/09/2019 Echue
AbbVie Inc. US00287YAY59 USD 3.2%   13/05/2026 98.85
UniCred IT0005650335 USD 4.75%   13/05/2032 100
Vontobel Financiers DE000VF86CH0 EUR 0%   Perpétuelle 100
Golden Goose Deluxe Brand XS3072909107 EUR 0%   14/05/2031 100
United American States US912797QA86 USD 0%   15/07/2025 100
MacDonald Corp XS2486285294 EUR 2.375%   30/05/2029 97.7
JPMorgan Chase & Co. XS1879175146 EGP 16.1%   08/05/2029 105.51
OZK Bank PREF Series US06417N2027 USD 4.625% 25 USD 15/05/2032 16.52
South Texas Educational Authority Bonds US840555CZ70 USD 0%   01/10/2024 Echue