Euro Obbligazioni - Quotazioni
| Isin | Descrizione | Ultimo | Cedola | Scadenza | |
|---|---|---|---|---|---|
|
XS2944871586 -
Snam Spa Sdg Link Fx 3.375%Nov31call Eur
Ultimo:
Cedola: 3,375
Scadenza: 26/11/2031
|
Snam Spa Sdg Link Fx 3.375%Nov31call Eur | 3,375 | 26/11/2031 | ||
|
XS2944872121 -
Snam Spa Sdg Link Fx 5.75%Nov36call Gbp
Ultimo:
Cedola: 2,875
Scadenza: 26/11/2036
|
Snam Spa Sdg Link Fx 5.75%Nov36call Gbp | 2,875 | 26/11/2036 | ||
|
XS2944931406 -
World Bank Sustainable Fx 2% Jan28 Cny
Ultimo:
Cedola:
Scadenza: 21/01/2028
|
World Bank Sustainable Fx 2% Jan28 Cny | 21/01/2028 | |||
|
XS2949283241 -
Cabei Sustainable Fx 32.5% Dec28 Try
Ultimo:
Cedola:
Scadenza: 06/12/2028
|
Cabei Sustainable Fx 32.5% Dec28 Try | 06/12/2028 | |||
|
XS2958536976 -
Newprinces Fx 4.75% Feb31 Call Eur
Ultimo: 100,60
Cedola: 2,375
Scadenza: 12/02/2031
|
Newprinces Fx 4.75% Feb31 Call Eur | 100,60 | 2,375 | 12/02/2031 | |
|
XS2971936948 -
Hungary Fx 4.5% Jun34 Eur
Ultimo: 102,82
Cedola:
Scadenza: 16/06/2034
|
Hungary Fx 4.5% Jun34 Eur | 102,82 | 16/06/2034 | ||
|
XS2971937672 -
Hungary Green Fx 4.875% Mar40 Eur
Ultimo: 102,31
Cedola:
Scadenza: 22/03/2040
|
Hungary Green Fx 4.875% Mar40 Eur | 102,31 | 22/03/2040 | ||
|
XS2974639770 -
Adb Fx 5.75% Jan30 Huf
Ultimo: 98,78
Cedola:
Scadenza: 23/01/2030
|
Adb Fx 5.75% Jan30 Huf | 98,78 | 23/01/2030 | ||
|
XS2975276143 -
Poland Fx 3.625% Jan35 Eur
Ultimo: 100,19
Cedola:
Scadenza: 16/01/2035
|
Poland Fx 3.625% Jan35 Eur | 100,19 | 16/01/2035 | ||
|
XS2975280509 -
Poland Fx 3% Jan30 Eur
Ultimo: 100,50
Cedola:
Scadenza: 16/01/2030
|
Poland Fx 3% Jan30 Eur | 100,50 | 16/01/2030 | ||
|
XS2976490941 -
Adb Fx 30% Jul26 Try
Ultimo: 95,50
Cedola:
Scadenza: 29/07/2026
|
Adb Fx 30% Jul26 Try | 95,50 | 29/07/2026 | ||
|
XS2977993471 -
Ifc Fx 11.5% Jan30 Brl
Ultimo:
Cedola:
Scadenza: 16/01/2030
|
Ifc Fx 11.5% Jan30 Brl | 16/01/2030 | |||
|
XS2978479298 -
World Bank Sustainable Fx2.95% Jan35 Eur
Ultimo: 98,30
Cedola:
Scadenza: 16/01/2035
|
World Bank Sustainable Fx2.95% Jan35 Eur | 98,30 | 16/01/2035 | ||
|
XS2978923550 -
World Bank Sustain Fx 12.5% Jan30 Brl
Ultimo: 101,31
Cedola:
Scadenza: 16/01/2030
|
World Bank Sustain Fx 12.5% Jan30 Brl | 101,31 | 16/01/2030 | ||
|
XS2979761769 -
Lithuania Fx 2.875% Jan30 Eur
Ultimo:
Cedola: 2,875
Scadenza: 28/01/2030
|
Lithuania Fx 2.875% Jan30 Eur | 2,875 | 28/01/2030 | ||
|
XS2979761926 -
Lithuania Fx 3.625% Jan40 Eur
Ultimo:
Cedola: 3,625
Scadenza: 28/01/2040
|
Lithuania Fx 3.625% Jan40 Eur | 3,625 | 28/01/2040 | ||
|
XS2982293156 -
Gs Group Oc Aug35 Call Eur
Ultimo:
Cedola:
Scadenza: 04/08/2035
|
Gs Group Oc Aug35 Call Eur | 04/08/2035 | |||
|
XS2982296092 -
Gs Group Oc Aug35 Call Usd
Ultimo:
Cedola:
Scadenza: 04/08/2035
|
Gs Group Oc Aug35 Call Usd | 04/08/2035 | |||
|
XS2982308285 -
Gs Group Sc Jun40 Call Eur
Ultimo: 91,87
Cedola:
Scadenza: 05/06/2040
|
Gs Group Sc Jun40 Call Eur | 91,87 | 05/06/2040 | ||
|
XS2982309176 -
Gs Group Sc Jun40 Call Usd
Ultimo: 93,50
Cedola:
Scadenza: 05/06/2040
|
Gs Group Sc Jun40 Call Usd | 93,50 | 05/06/2040 |
Quotazioni Obbligazioni - Euro Obbligazioni
BTP in distribuzione