Italian Government bonds

Italian Government bonds

RFQ
Data sheet
IT0005595803 BTP 15 LG 31 3,45% 15/07/2031 EUR Fixed rate 6M 3.45 -
IT0005327306 BTP 15 MG 25 1,45% 15/05/2025 EUR Fixed rate 6M 1.45 -
IT0005433690 BTP 15 MZ 28 0,25% 15/03/2028 EUR Fixed rate 6M 0.25 -
IT0005282527 BTP 15 NV 24 1,45% 15/11/2024 EUR Fixed rate 6M 1.45 -
IT0005345183 BTP 15 NV 25 2,50% 15/11/2025 EUR Fixed rate 6M 2.50 -
IT0005561888 BTP 15 NV 30 4,00% 15/11/2030 EUR Fixed rate 6M 4.00 -
IT0005556011 BTP 15 ST 26 3,85% 15/09/2026 EUR Fixed rate 6M 3.85 -
IT0005416570 BTP 15 ST 27 0,95% 15/09/2027 EUR Fixed rate 6M 0.95 -
IT0005415291 BTP FUTURA 14 LG 30 14/07/2030 EUR Mixed Rate 6M 1.30 -
IT0005466351 BTP FUTURA 16 NV 33 16/11/2033 EUR Mixed Rate 6M 0.75 -
IT0005425761 BTP FUTURA 17 NV 28 17/11/2028 EUR Mixed Rate 6M 0.60 -
IT0005442097 BTP FUTURA 27 AP 37 27/04/2037 EUR Mixed Rate 6M 0.75 -
IT0005508590 BTP GREEN 30 AP 35 4,00% 30/04/2035 EUR Fixed rate 6M 4.00 -
IT0005438004 BTP GREEN 30 AP 45 1,50% 30/04/2045 EUR Fixed rate 6M 1.50 -
IT0005542359 BTP GREEN 30 OT 31 4,00% 30/10/2031 EUR Fixed rate 6M 4.00 -
IT0005596470 BTP GREEN 30 OT 37 4,05% 30/10/2037 EUR Fixed rate 6M 4.05 -
IT0005532723 BTP ITALIA INFL 14 MZ 28 14/03/2028 EUR Fixed rate 6M 2.00 -
IT0005332835 BTP ITALIA INFL 21 MG 26 21/05/2026 EUR Floating rate 6M 0.55 -
IT0005517195 BTP ITALIA INFL 22 NV 28 22/11/2028 EUR Fixed rate 6M 1.60 -
IT0005217770 BTP ITALIA INFL 24 OT 24 24/10/2024 EUR Floating rate 6M 0.35 -
IT0005410912 BTP ITALIA INFL 26 MG 25 26/05/2025 EUR Fixed rate 6M 1.40 -
IT0005497000 BTP ITALIA INFL 28 GN 30 28/06/2030 EUR Fixed rate 6M 1.60 -
IT0005388175 BTP ITALIA INFL 28 OT 27 28/10/2027 EUR Fixed rate 6M 0.65 -
IT0005584302 BTP Short Term 28 GE 26 3,20% 28/01/2026 EUR Fixed rate 6M 2.67 -
IT0005534281 BTP Short Term 28 MZ 25 3,40% 28/03/2025 EUR Fixed rate 6M 3.40 -
IT0005557084 BTP Short Term 29 ST 25 3,60% 29/09/2025 EUR Fixed rate 6M 3.60 -
IT0005565400 BTP VALORE 10 OT 28 10/10/2028 EUR Mixed Rate 3M 4.10 -
IT0005547408 BTP VALORE 13 GN 27 13/06/2027 EUR Mixed Rate 6M 3.25 -
IT0005594483 BTP VALORE 14 MG 30 14/05/2030 EUR Mixed Rate 3M 3.35 -
IT0005583486 BTP VALORE 5 MZ 30 05/03/2030 EUR Mixed Rate 3M 3.25 -
IT0005415416 BTPi 15 MG 26 0,65% 15/05/2026 EUR Fixed rate 6M 0.65 -
IT0005246134 BTPi 15 MG 28 1,30% 15/05/2028 EUR Fixed rate 6M 1.30 -
IT0005543803 BTPi 15 MG 29 1,50% 15/05/2029 EUR Fixed rate 6M 1.50 -
IT0005387052 BTPi 15 MG 30 0,40% 15/05/2030 EUR Fixed rate 6M 0.40 -
IT0005482994 BTPi 15 MG 33 0,10% 15/05/2033 EUR Fixed rate 6M 0.10 -
IT0005588881 BTPi 15 MG 36 1,80% 15/05/2036 EUR Fixed rate 6M 1.80 -
IT0005547812 BTPi 15 MG 39 2,40% 15/05/2039 EUR Fixed rate 6M 2.40 -
IT0005436701 BTPi 15 MG 51 0,15% 15/05/2051 EUR Fixed rate 6M 0.15 -
IT0005004426 BTPi 15 ST 24 2,35% 15/09/2024 EUR Fixed rate 6M 2.35 -
IT0004735152 BTPi 15 ST 26 3,10% 15/09/2026 EUR Fixed rate 6M 3.10 -
IT0005138828 BTPi 15 ST 32 1,25% 15/09/2032 EUR Fixed rate 6M 1.25 -
IT0003745541 BTPi 15 ST 35 2.35% 15/09/2035 EUR Fixed rate 6M 2.35 -
IT0004545890 BTPi 15 ST 41 2,55% 15/09/2041 EUR Fixed rate 6M 2.55 -
IT0005311508 CCTEU 15 AP 25 15/04/2025 EUR Floating rate 6M 4.81 -
IT0005428617 CCTEU 15 AP 26 15/04/2026 EUR Floating rate 6M 4.36 -
IT0005451361 CCTEU 15 AP 29 15/04/2029 EUR Floating rate 6M 4.51 -
IT0005594467 CCTEU 15 AP 32 15/04/2032 EUR Floating rate 6M 4.91 -
IT0005359846 CCTEU 15 GE 25 15/01/2025 EUR Floating rate 6M 5.53 -
IT0005252520 CCTEU 15 OT 24 15/10/2024 EUR Floating rate 6M 4.96 -
IT0005534984 CCTEU 15 OT 28 15/10/2028 EUR Floating rate 6M 4.66 -