Liste d'obligations internationales ( Toutes )
| Société émettrice | Code ISIN | Devise | Coupon | Montant minimal | Maturité | Prix sur le marché | |
| Nippon Bonds | JP1051211EA9 | JPY | 0.1% | 20/09/2019 | Echue | ||
| Nippon Bonds | JP1051791R76 | JPY | 1% | 19/06/2030 | 97.14 | ||
| Nippon Bonds | JP1103761QA5 | JPY | 0.9% | 20/09/2034 | 91.56 | ||
| Nippon Bonds | JP1470021Q71 | JPY | 0.5% | 20/06/2029 | 100 | ||
| Nippon Bonds | JP1024661QB1 | JPY | 0.5% | 01/11/2026 | 99.17 | ||
| Nippon Bonds | JP1201321BC7 | JPY | 1.7% | 19/12/2031 | 100.11 | ||
| Nippon Bonds | JP1201311BB0 | JPY | 1.7% | 19/09/2031 | 100.12 | ||
| Nippon Bonds | JP1201361C58 | JPY | 1.6% | 19/03/2032 | 99.14 | ||
| Nippon Bonds | JP1201161A37 | JPY | 2.2% | 20/03/2030 | 100 | ||
| Nippon Bonds | JP1201341C38 | JPY | 1.8% | 20/03/2032 | 100 | ||
| Nippon Bonds | JP1470031R78 | JPY | 1% | 20/06/2030 | 100 | ||
| Nippon Bonds | JP1024641Q92 | JPY | 0.4% | 31/08/2026 | 99.18 | ||
| Nippon Bonds | JP1111241L88 | JPY | 0% | 15/08/2030 | 100 | ||
Japan Bonds are government-issued debt securities denominated in Japanese yen, offering investors exposure to the Japanese economy and a relatively low-risk investment opportunity.
Les Japan Bonds sont des obligations gouvernementales japonaises émises par le ministère des Finances japonais, servant à financer les dépenses publiques et considérées comme des placements relativement sûrs.
I Japan Bonds sono titoli di stato emessi dal governo giapponese, considerati investimenti a basso rischio con rendimenti generalmente bassi.