Monday, May 20, 2024 - 06:15

Bonds without LP

ISIN
Description
Maturity
Currency
Coupon type
Coupon frequency
Coupon %
Bid yield
Nr. of proposals (bid)
Bid quantity
Bid price
Ask price
Ask quantity
Nr. of proposals (ask)
Ask yield
Var %
Data sheet
IT0004759731BCA IMOLA 4,14% 25/08/31 272a25/08/2031EURFixed rate1Y4.14
IT0005459851BANCA CR SAV S/UP 01/10/31 211a01/10/2031EURMixed Rate6M0.75
XS2745705637INTESA SANPAOLO S/D 12/1/32 USD12/01/2032USDMixed Rate3M7.00
IT0005484016B SELLA H TF RESET 3/3/32 SUBCAL03/03/2032EURMixed Rate6M4.50
XS2521873328GOLDMAN SACHS 5,0% 28/09/32 CALL28/09/2032EURFixed rate1Y5.00
IT0005495152BSELLA H TF RESET 24/11/32SUBCAL24/11/2032EURMixed Rate6M5.63
IT0005513194BSELLA H TF RESET 18/4/33 SUBCAL18/04/2033EURMixed Rate6M9.00
XS2630111719BAYER 4,325% 26/05/2033 CALL26/05/2033EURFixed rate1Y4.63
US91282CHT18T NOTE 3,875% 15/08/2033 USD15/08/2033USDFixed rate6M3.88
XS2680932907UNGHERIA 5,375% 12/09/203312/09/2033EURFixed rate1Y5.38
IT0005568727BSELLA H TF RESET 14/11/33SUBCAL14/11/2033EURMixed Rate6M8.75
IT0005579534UNICREDIT S/D 10/01/2034 CALL10/01/2034EURMixed Rate1Y6.50
XS2552850096GOLDMAN SACHS S/D 22/01/34 CALL22/01/2034EURMixed Rate1Y8.00
XS1970549561ROMANIA 3,50% 03/04/203403/04/2034EURFixed rate1Y3.50
IT0003804264CR RAVENNA ZC 01/02/35 42a01/02/2035EURZero Coupon-
IT0003806517BCA IMOLA ZC 01/02/35 152a01/02/2035EURZero Coupon-7015,00013.390
XS1346201889POLONIA 2,375% 18/01/203618/01/2036EURFixed rate1Y2.38
US88163VAD10TEVA 6,15% 01/02/36 CALL USD01/02/2036USDFixed rate6M6.15
US900123BB58TURCHIA 7,25% 05/03/2038 USD05/03/2038USDFixed rate6M7.25
XS0501195993ARGENTINA PAR S/UP 31/12/203831/12/2038EURMixed Rate6M3.3816.86418,00039.139.3911,723116.745
US71645WAQ42PETROBRAS 6,875% 20/1/2040 USD20/01/2040USDFixed rate6M6.88
US105756BR01BRASILE 5,625% 07/1/2041 USD07/01/2041USDFixed rate6M5.63
US71645WAS08PETROBRAS 6,75% 27/1/2041 USD27/01/2041USDFixed rate6M6.75
US71647NAA72PETROBRAS 5,625% 20/5/43 USD20/05/2043USDFixed rate6M5.63
US345370BM12FORD 7,75% 15/6/43 USD15/06/2043USDFixed rate6M7.75
US71647NAK54PETROBRAS 7,25% 17/3/2044 USD17/03/2044USDFixed rate6M7.25
AT0000A1PEF7REPUB. AUSTRIA 1,50% 02/11/208602/11/2086EURFixed rate1Y1.50
AT0000A1XML2REPUB. AUSTRIA 2,10% 20/09/211720/09/2117EURFixed rate1Y2.10
AT0000A2HLC4REPUB. AUSTRIA 0,85% 30/06/212030/06/2120EURFixed rate1Y0.85