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
Bogota City of.. USP17460AB56 COP 9.75%   25/07/2028
Barclay PLC US06744CJC64 USD 0%   29/03/2021 Echue
Von Roll Holding Bonds CH0319544901 CHF 1%   11/04/2022 Echue
Canadian Imperial Bank US78012KLB16 USD 0%   26/02/2021 Echue
Handelsbanken AB [publ] XS0074517680 USD 7.459%   00/00/0000 Echue
TVA Services US880591EC28 USD 4.5%   01/04/2018 Echue
BanqInter XS3099152756 EUR 6%   Perpétuelle 100.88
BNP Paribas SA FR0010638338 EUR 7.781%   Perpétuelle 100
Atrium Ljunberg AB Bonds NO0010907256 NOK 2.39%   23/11/2027 100
Nomura Group US65535HCC16 USD 7%   Perpétuelle 101.63
JPMorgan Chase & Co. Bonds US48132CR476 USD 0%   31/08/2026 100
Jysk Kredit DK0009399867 DKK 0.5%   30/09/2053 72.17
Apaches US037411BG97 USD 5.35%   30/06/2049 72.95
Three Gorges Financial I [Cayman Islands] Ltd US88556LAE65 USD 2.15%   21/09/2030 100
NatWest Holdings US639057AD02 USD 4.6%   Perpétuelle 87.968
Berliner Hypothekenbank DE000BHY0HX7 EUR 0.625%   29/06/2031 84.58
Silverstone Deux N.V. BE6291657433 EUR 3.2%   29/06/2046 100
G R Infraprojects Bonds INE201P08027 INR 8.85%   08/05/2020 Echue
CBo Terres FR001400IVP6 EUR 7%   29/06/2028 4.35
Aareal Bank Capital Funding Trust XS0138973010 EUR 7.125%   Perpétuelle 100
Hercules US427056AU02 USD 6.5%   29/06/2029 113
Morgan Stanleigh US61745E6X46 USD 8%   30/03/2031 76
Japan Municipal Finance Organization JP328620B723 JPY 2.37%   17/12/2026 100
IuteCredit Finance S.à.r.l XS3047514446 EUR 12%   05/12/2030 100.5
Montepio Geral Banco PTCMGGOM0008 EUR 10%   29/10/2026 100.1
Nova Fortress Energy Inc USU6422PAC24 USD 6.5%   29/09/2026 42.81
NORD/LB Bonds DE000NLB2D56 EUR 3.75%   20/01/2020 Echue
Santander Bank XS3100756637 EUR 6%   Perpétuelle 100.06
CNP Assurances Bonds FR0014010SB3 EUR 5.5%   Perpétuelle 99.63
Clariane Bonds FR001400YRZ0 EUR 7.875%   27/06/2030 100.61
Korea Student Aid Foundation (KOSAF) Bonds KR356008G489 KRW 3.214%   28/08/2029 100
BNP Paribas SA USF1067PAH94 USD 7.45%   Perpétuelle 101.151
Leonteq Securities (Guernsey) CH0516980361 USD 0%   07/02/2023 Echue
Shizuoka Prefecture of.. JP2220002873 JPY 2.35%   19/06/2028 100
Arabella Financial DAC XS2485358571 EUR 0%   19/07/2022 Echue
GLP PTE. INC. XS3071310059 USD 9.75%   19/05/2028 100
Under Armour US904311AD93 USD 7.25%   15/07/2030 101.875
Telis US87971MCM38 USD 7%   15/10/2055 100.66
Worldwide Associates USU3164VAG96 USD 7.125%   01/07/2033 100
Telis US87971MCL54 USD 6.625%   15/10/2055 100.5
BlackStone Private Debt Fund US09261HBG11 USD 6.25%   25/01/2031 102.43
BNP Paribas SA US05565AAB98 USD 7.195%   Perpétuelle 104.05
HSBC Global plc US404280FA24 USD 7.05%   Perpétuelle 101.752
Barclay PLC XS3069217621 GBP 8.375%   Perpétuelle 1.0275
Canadian Imperial Bank US780082AV50 USD 6.75%   Perpétuelle 100.25
Eurobank Ergaseia XS3044351867 EUR 6.625%   Perpétuelle 100.17
BT Group XS3085605205 GBP 6.375%   03/12/2055 99.76
Groupama Assurances Mutuelles Bonds FR001400ZUC0 EUR 4.375%   26/05/2035 99.92
Lagardere Group Bonds FR001400YQA5 EUR 4.75%   12/06/2030 101.27
Getinge AB SE0013883063 SEK 0%   09/06/2024 Echue
RocketCorp US77311WAA99 USD 6.125%   01/08/2030 100
RocketCorp US77311WAB72 USD 6.375%   01/08/2033 100
Baden-Württemberg Landesbank Bonds DE000LB01R95 EUR 0.4%   21/04/2021 Echue
Swiss Credit XS2379890580 EUR 0%   27/12/2033 100
Enbridge Energy US29250NCJ28 USD 4.9%   20/06/2030 100
Nomura Global Finance PLC XS2138675041 USD 4.95%   09/01/2025 Echue
Aethelred SA BE0002844257 EUR 4.625%   04/04/2028 94.45
Helaba Obligations DE000HLB17J0 EUR 3.125%   18/03/2015 Echue
Euro Investment Bank (EIB) Bonds EU000A4ECKZ8 EUR 2.875%   17/06/2035 100.01
Malakoff Humanis Prévoyance Obligations FR0014010J17 EUR 4.5%   19/06/2035 100.23
Euro Investment Bank XS0241172948 EUR 2.5%   20/01/2016 Echue
Pacific Global Life Funding II XS3095372119 EUR 3.125%   17/06/2031 99.33
LCPR Senior Secured Lending DAC USG53431AD70 USD 5.125%   14/07/2029 100
Lowland MBS 4 B.V. XS1551596775 EUR 0%   17/02/2054 100
Ferrovie Italiane S.p.A XS3101504952 EUR 3.375%   23/06/2032 100
ANX USQ0954PVS83 USD 5.816%   17/06/2036 100.571
Repsolis XS3102778191 EUR 4.5%   Perpétuelle 99.76
RWE Energie XS3094765735 EUR 4.625%   17/06/2055 100.11
NovaInvest XS3103692250 EUR 5%   24/06/2030 100
Banco Desio Brianza Bond IT0005655003 EUR 3.6%   18/06/2040 100
Orange Liens FR0014010IV2 EUR 3.875%   Perpétuelle 98.58
GlobalLine Securities FR0014010A08 EUR 5.5%   10/06/2030 97.7
Monte Paschi Siena Bonds IT0005655334 EUR 2.75%   17/01/2031 99.66
Veolia Environnement Obligations FR0014010IP4 EUR 3.324%   16/06/2032 100.03
Cardinal Minerals International USU2038LAB81 USD 8%   01/07/2030 101
Casta Diva Group Obligations IT0005653891 EUR 0%   06/11/2031 100
Whirlwind US963320BD71 USD 6.125%   15/06/2030 99.75
Whirlwind US963320BE54 USD 6.5%   15/06/2033 99.832
Weinberg Capital Ltd XS2412874674 USD 0%   20/09/2022 Echue
Depositi e Prestiti (DEP) Bonds IT0005655136 EUR 3.25%   16/06/2033 98.66
Badenia-Wuerttemberg Bank DE000LB2BF18 EUR 0.43%   17/06/2030 86.6
Cascadia US14739LAD47 USD 6.75%   15/07/2030 100.209
UnipolSai Assicurazioni S.r.l. XS1078235733 EUR 5.75%   Perpétuelle 100
Italia IT0005655037 EUR 0%   12/06/2026 Echue
AquaFCC XS3089767183 EUR 3.75%   10/06/2032 99.33
New Flyer Group Inc. USU64228AA45 USD 9.25%   30/06/2030 102.875
GlobalDrive Auto Receivables UK PLC XS1473826938 GBP 1.201%   19/09/2024 Echue
Bombardière USC10602BQ92 USD 6.75%   14/06/2033 104.1
La Poste Banque FR0127578948 GBP 0%   23/10/2022 Echue
FreddieMac Bonds US3128X4QP93 USD 4.595%   05/10/2007 Echue
SouthStateCo US840441AA79 USD 7%   12/06/2035 102.504
GS Financial Corp Bonds US40055QZV75 USD 0%   05/10/2023 Echue
Quadient Lien FR0011368521 EUR 3.5%   06/12/2019 Echue
Nagpur-Betul Highway Orient Bonds INE105N07647 INR 9%   30/09/2022 Echue
RWE Energie XS3094762989 EUR 4.125%   17/06/2055 100.17
Cameron Liquefaction LLC USU1309CAB29 USD 3.302%   14/01/2035 100
IWG Global XS3047978518 EUR 5.125%   14/05/2032 100
FNAC Darty Group XS3022166493 EUR 4.75%   01/04/2032 100
Icahn Holdings USU44927BD96 USD 10%   15/11/2029 100