Titoli di stato Esteri - del mese 2022-06
Mostra le statistiche per:OggiIeriMese correnteMese selezionato
ISIN | Descrizione | Valuta | Prezzo Min | Prezzo Max | Prezzo Medio | Numero Contratti | Quantità negoziata | Controvalore |
---|---|---|---|---|---|---|---|---|
BE0000304130 | BELGIUM 5% 28/03/2035 | EUR | ||||||
AT0000383864 | AUSTRIA 6,25% 15/07/2027 | EUR | ||||||
NL0010071189 | OLANDA 2,50% 15/1/2033 | EUR | ||||||
FR0011962398 | OAT 1,75% 25/11/2024 | EUR | ||||||
FR0011883966 | OAT 2,5% 25/5/2030 | EUR | 104,04 | 105,97 | 104,40232 | 4 | 228.000 | 238.037,3 |
FR0011427848 | OATi 0,25% 25/07/2024 | EUR | ||||||
DE0001102333 | BUNDES 1,75% 15/02/2024 | EUR | ||||||
BE0000332412 | BELGIUM 2,60% 22/06/2024 | EUR | ||||||
BE0000320292 | BELGIUM 4,25% 28/03/2041 | EUR | ||||||
PTOTEQOE0015 | PORTUGAL 5,65% 15/02/2024 | EUR | 106,497 | 106,497 | 106,497 | 1 | 2.000 | 2.129,94 |
ES00000123U9 | BONOS 5,40% 31/1/23 | EUR | ||||||
FI4000047089 | FINLAND 1,625% 15/09/2022 | EUR | ||||||
DE0001135473 | BUNDES 1,75% 04/07/2022 | EUR | 99,979 | 100,011 | 99,99776 | 2 | 29.000 | 28.999,35 |
DE0001102309 | BUNDES 1,50% 15/02/2023 | EUR | ||||||
XS0098449456 | REP OF ITALY CMS 28/06/2029 | EUR | 103,15 | 107,02 | 105,54711 | 5 | 242.000 | 255.424 |
FR0011337880 | OAT 2,25% 25/10/2022 | EUR | 100,84 | 100,84 | 100,84 | 1 | 10.000 | 10.084 |
FR0011317783 | OAT 2,75% 25/10/2027 | EUR | ||||||
FR0000571218 | OAT 5,50% 25/04/2029 | EUR | ||||||
FR0000571150 | OAT 6,00% 25/10/2025 | EUR | 116,44 | 116,44 | 116,44 | 1 | 1.000 | 1.164,4 |
DE0001135499 | BUNDES 1,50% 04/09/2022 | EUR | 100,342 | 100,366 | 100,36190 | 2 | 123.000 | 123.445,14 |
DE0001135481 | BUNDES 2,50% 04/07/2044 | EUR | ||||||
DE0001135366 | BUNDES 4,75% 04/07/2040 | EUR | ||||||
DE0001134922 | BUNDES 6,25% 04/01/2024 | EUR | ||||||
FR0010466938 | OAT 4,25% 25/10/2023 | EUR | ||||||
FR0010070060 | OAT 4,75% 25/04/2035 | EUR | 129,85 | 132,12 | 131,5525 | 2 | 16.000 | 21.048,4 |
FR0011461037 | OAT 3,25% 25/05/2045 | EUR | ||||||
SK4120008871 | SLOVAKIA 3,375% 15/11/2024 | EUR | ||||||
FR0011619436 | OAT 2,125% 25/5/2024 | EUR | 101,95 | 102,68 | 102,3225 | 3 | 16.000 | 16.371,6 |
BE0000331406 | BELGIUM 3,75% 22/6/2045 | EUR | ||||||
BE0000328378 | BELGIUM 2,25% 22/6/2023 | EUR | ||||||
BE0000326356 | BELGIUM 4% 28/3/2032 | EUR | ||||||
AT0000A0U3T4 | REP. AUSTRIA 3,40 22/11/22 | EUR | ||||||
AT0000A10683 | REPUB. AUSTRIA 2,40% 23/05/34 | EUR | ||||||
AT0000A105W3 | REPUB. AUSTRIA 1,75% 20/10/23 | EUR | ||||||
AT0000A0VRQ6 | REPUB. AUSTRIA 3,15% 20/6/2044 | EUR | ||||||
DE0001135143 | BUNDES 6,25% 04/01/2030 | EUR | ||||||
DE0001135085 | BUNDES 4,75% 04/07/2028 | EUR | 118,99 | 120,67 | 119,89857 | 3 | 14.000 | 16.785,8 |
AT0000A0DXC2 | REPUB. AUSTRIA 4,85% 15/03/2026 | EUR | ||||||
PTOTE5OE0007 | PORTUGAL 4,10% 15/04/2037 | EUR | 112,15 | 114,92 | 113,01941 | 3 | 85.000 | 96.066,5 |
FR0010916924 | OAT 3,5% 25/04/2026 | EUR | 106,45 | 108,5 | 107,13436 | 3 | 55.000 | 58.923,9 |
ES00000122E5 | BONOS 4,65% 30/07/2025 | EUR | 107,82 | 110,17 | 109,85431 | 6 | 299.000 | 328.464,4 |
ES00000120N0 | BONOS 4,90% 30/07/2040 | EUR | ||||||
ES0000011868 | BONOS 6,00% 31/01/2029 | EUR | ||||||
DE0001135432 | BUNDES 3,25% 04/07/2042 | EUR | 125,13 | 128,27 | 127,59359 | 3 | 145.000 | 185.010,7 |
DE0001135226 | BUNDES 4,75% 04/07/2034 | EUR | 130,09 | 136,36 | 130,49491 | 6 | 275.000 | 358.861 |
FR0010371401 | OAT 4% 25/10/2038 | EUR | 121,14 | 126,49 | 124,20027 | 15 | 74.000 | 91.908,2 |
DE0001135275 | BUNDES 4,00% 04/01/2037 | EUR | 125,92 | 136,03 | 128,97713 | 19 | 122.000 | 157.352,1 |
DE0001135176 | BUNDES 5,50% 04/01/2031 | EUR | ||||||
ES0000012932 | BONOS 4,20% 31/01/2037 | EUR | 114,43 | 118 | 114,61518 | 4 | 112.000 | 128.369 |
DE0001135325 | BUNDES 4,25% 04/07/2039 | EUR | 132,03 | 132,03 | 132,03 | 1 | 150.000 | 198.045 |