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
Ares Strategic Yield Fund US04020EAE77 USD 5.7% 2 000 USD 15/03/2028 99.4045
Ares Strategic Yield Fund US04020EAC12 USD 5.6% 2 000 USD 14/02/2030 97.556
Ares Strategic Yield Fund USU2225WAB73 USD 5.6% 2 000 USD 15/02/2030 99.391
Ares Strategic Yield Fund USU2225WAE13 USD 6.2% 2 000 USD 21/03/2032 98.8556
Ares Strategic Yield Fund US04020EAG26 USD 5.7%   15/03/2028 100.238
Ares Strategic Yield Fund US04020EAJ64 USD 6.2%   21/03/2032 100.323
Ares Strategic Yield Fund USU2225WAJ00 USD 5.15%   15/01/2031 94.73
Ares Strategic Yield Fund US04020EAB39 USD 6.35%   15/08/2029 101.085
Ares Strategic Yield Fund US04020EAL11 USD 5.45%   08/09/2028 99.4
Ares Strategic Yield Fund US04020EAD94 USD 5.6%   15/02/2030 97.155
Ares Strategic Yield Fund US04020EAK38 USD 5.8%   09/09/2030 97.812
Ares Strategic Yield Fund US04020EAP25 USD 4.85%   14/01/2029 97.05
Ares Strategic Yield Fund US04020EAR80 USD 5.15%   15/01/2031 100
Ares Strategic Yield Fund USU2225WAL55 USD 5.55%   15/04/2031 98.622
Ares Strategic Yield Fund US04020EAN76 USD 5.8%   09/09/2030
Ares Strategic Yield Fund US04020EAS63 USD 5.15%   15/01/2031
Ares Strategic Yield Fund US04020EAW75 USD 5.55%   15/04/2031

Ares Strategic Income Fund is a closed-end fund that invests in a diversified portfolio of debt and equity securities, focusing on middle-market companies and opportunistic credit strategies across various sectors and geographies, aiming for high current income and capital appreciation.

Ares Strategic Income Fund est un fonds commun de placement fermé qui investit dans une variété de créances à haut rendement, y compris des prêts bancaires, des obligations et d'autres titres de créance, visant à générer des revenus pour ses investisseurs.

Ares Strategic Income Fund è un fondo di investimento che punta a generare rendimenti da un portafoglio diversificato di attività a reddito fisso, privilegiando strategie di investimento flessibili e attive in mercati privati e pubblici, con un'attenzione particolare agli investimenti in sofferenza e opportunità speciali.