Banking bonds

Bid yield
Nr. of proposals (bid)
Bid quantity
Bid price
Ask price
Ask quantity
Nr. of proposals (ask)
Ask yield
Var %
Data sheet
XS2625196352 INTSANPAOLO GREEN 4,875% 19/5/30 19/05/2030 EUR Fixed rate 1Y 4.88 3.272 1 100,000 107.91 108.23 100,000 1 3.211
XS1402921412 JP MORGAN 1,50% 29/10/2026 29/10/2026 EUR Fixed rate 1Y 1.50 2.856 1 100,000 97.486 98.763 200,000 1 2.160
US46625HRS12 JPMORGAN 3,20% 15/06/26 CALL USD 15/06/2026 USD Fixed rate 6M 3.20 5.101 1 200,000 97.19 98.73 200,000 1 4.050
XS1612940558 KFW GREEN 0,25% 30/06/2025 30/06/2025 EUR Fixed rate 1Y 0.25 3.040 1 100,000 98.354
XS2315837778 KFW GREEN 1,125% 08/08/2025 NOK 08/08/2025 NOK Fixed rate 1Y 1.13
XS2090859252 MEDIOBANCA 0,875% 15/01/2026 15/01/2026 EUR Fixed rate 1Y 0.88 2.992 1 100,000 97.65 97.82 100,000 1 2.836
XS2027957815 MEDIOBANCA 1,125% 15/07/2025 15/07/2025 EUR Fixed rate 1Y 1.13 2.925 1 100,000 98.86 99.1 100,000 1 2.541
XS1973750869 MEDIOBANCA 1,625% 07/01/2025 07/01/2025 EUR Fixed rate 1Y 1.63 3.374 1 100,000 99.78 99.83 100,000 1 2.971
XS2262077675 MEDIOBANCA 2,30% 23/11/30 SUBCAL 23/11/2030 EUR Mixed Rate 1Y 2.30 2.573 1 250,000 98.5 99.15 250,000 1 2.454
XS2533094400 MEDIOBANCA 3,40% 21/10/2026 21/10/2026 EUR Fixed rate 1Y 3.40 2.829 1 20,000 101.043 101.28 10,000 1 2.701
XS2227196404 MEDIOBANCA GREEN 1,0% 08/09/2027 08/09/2027 EUR Fixed rate 1Y 1.00 2.932 1 100,000 94.89 95.17 100,000 1 2.823
XS2597999452 MEDIOBANCA TM 14/3/28 CALL 14/03/2028 EUR Mixed Rate 1Y 4.75 3.482 1 100,000 103.94 104.27 100,000 1 3.377
XS2431320378 MEDIOBANCA TM 17/07/2029 CALL 17/07/2029 EUR Mixed Rate 1Y 1.00 2.681 1 100,000 92.75 93.23 100,000 1 2.565
XS2563002653 MEDIOBANCA TM SUST 07/02/29 CALL 07/02/2029 EUR Mixed Rate 1Y 4.63 3.412 1 100,000 104.72 105.12 100,000 1 3.311
XS2270393379 MONTE PASCHI 1,875% 09/01/26 09/01/2026 EUR Fixed rate 1Y 1.88 3.713 1 100,000 98.001 98.999 100,000 1 2.786
XS2110110686 MONTE PASCHI 2,625% 28/04/2025 28/04/2025 EUR Fixed rate 1Y 2.63 4.345 1 100,000 99.251 100.099 100,000 1 2.356
XS2785686523 MONTE PASCHI TM 15/03/2029 CALL 15/03/2029 EUR Mixed Rate 1Y 4.75 4.173 1 100,000 102.266 105.21 100,000 1 3.435
XS1752894292 MONTE PASCHI TV 18/1/28 CALL SUB 18/01/2028 EUR Mixed Rate 1Y 7.71 4.584 1 100,000 108.96 110.999 100,000 1 3.925
XS1603892149 MORGAN STANLEY 1,875% 27/04/2027 27/04/2027 EUR Fixed rate 1Y 1.88 2.758 1 100,000 97.95 99.57 100,000 1 2.057
XS2332589972 NEXI 1,625% 30/04/2026 CALL 30/04/2026 EUR Fixed rate 6M 1.63 3.606 1 100,000 97.251 98.549 100,000 1 2.661
XS2332590475 NEXI 2,125% 30/4/2029 CALL 30/04/2029 EUR Fixed rate 6M 2.13 3.666 1 100,000 93.741 94.16 100,000 1 3.560
XS1069928783 RABOBANK ZC 23/05/2034 ZAR 23/05/2034 ZAR Zero Coupon - 10.959 1 1,000,000 37.25 39.2 1,000,000 1 10.365
FR0013476090 RCI BANQUE 1,125% 15/01/27 CALL 15/01/2027 EUR Fixed rate 1Y 1.13 -0.08
FR0013334695 RCI BANQUE 1,625% 26/05/26 CALL 26/05/2026 EUR Fixed rate 1Y 1.63 3.240 1 50,000 97.66 98.19 50,000 1 2.868
FR0013412707 RCI BANQUE 1,75% 10/04/26 CALL 10/04/2026 EUR Fixed rate 1Y 1.75 3.391 1 50,000 97.82 98.35 50,000 1 2.985
FR001400E904 RCI BANQUE 4,125% 01/12/25 CALL 01/12/2025 EUR Fixed rate 1Y 4.13 3.415 1 100,000 100.7 101.05 100,000 1 3.064
FR001400H2O3 RCI BANQUE 4,50% 06/04/27 CALL 06/04/2027 EUR Fixed rate 1Y 4.50 3.301 1 100,000 102.67 103.11 100,000 1 3.110
FR001400F0U6 RCI BANQUE 4,625% 13/7/26 CALL 13/07/2026 EUR Fixed rate 1Y 4.63 3.652 1 50,000 101.5 102 50,000 1 3.337
FR001400B1L7 RCI BANQUE 4,75% 06/07/27 CAL 06/07/2027 EUR Fixed rate 1Y 4.75 3.642 1 50,000 102.7 103.85 50,000 1 3.186
FR001400KY69 RCI BANQUE 4,875% 02/10/29 CALL 02/10/2029 EUR Fixed rate 1Y 4.88 3.839 1 50,000 104.5 105.45 50,000 1 3.629
FR001400CRG6 RCI BANQUE 4,875% 21/9/28 CALL 21/09/2028 EUR Fixed rate 1Y 4.88 3.626 1 50,000 104.38 104.92 50,000 1 3.477
FR0013322146 RCI BANQUE TV 12/03/2025 12/03/2025 EUR Floating rate 3M 4.04 4.041 1 100,000 100 100.32 100,000 1 2.975
DE000A1UDWN5 SIEMENS FIN 2,875% 10/03/2028 10/03/2028 EUR Fixed rate 1Y 2.88 2.632 1 50,000 100.75 103.1 50,000 1 1.893
FR0013448859 SOCIETE GENERALE 0,875% 24/09/29 24/09/2029 EUR Fixed rate 1Y 0.88 3.462 1 100,000 88.66 90.67 100,000 1 2.975
XS2799786848 TAMBURI INV 4,625% 21/6/29 CALL 21/06/2029 EUR Fixed rate 1Y 4.63 4.131 1 100,000 102 103 50,000 1 3.891
XS2289133915 UNICREDIT 0,325% 19/01/2026 19/01/2026 EUR Fixed rate 1Y 0.33 2.812 1 100,000 97.21 97.409 100,000 1 2.630
XS2063547041 UNICREDIT 0,50% 09/04/2025 09/04/2025 EUR Fixed rate 1Y 0.50 3.186 1 100,000 99 99.159 100,000 1 2.755
XS2433141947 UNICREDIT 1,625% 18/01/2032 18/01/2032 EUR Fixed rate 1Y 1.63 3.388 1 100,000 88.96 89.47 200,000 2 3.301
XS2104968404 UNICREDIT 1,80% 20/01/2030 20/01/2030 EUR Fixed rate 1Y 1.80 3.243 1 250,000 93.241 94.169 250,000 1 3.038
XS1508450688 UNICREDIT 2,125% 24/10/26 24/10/2026 EUR Fixed rate 1Y 2.13 2.742 1 100,000 98.861 99.11 100,000 1 2.606
XS2360310044 UNICREDIT GREEN TM 05/07/29 CALL 05/07/2029 EUR Mixed Rate 1Y 0.80 2.614 1 100,000 91.5 93.8 100,000 1 2.055
XS2588885025 UNICREDIT TM 16/02/29 CALL 16/02/2029 EUR Mixed Rate 1Y 4.45 3.481 1 150,000 103.791 104.3 150,000 1 3.352
XS2190134184 UNICREDIT TM 16/06/2026 CALL 16/06/2026 EUR Mixed Rate 1Y 1.25 2.247 1 100,000 98.493 99.954 100,000 1 1.283
XS2577053825 UNICREDIT TM 17/01/2029 CALL 17/01/2029 EUR Mixed Rate 1Y 4.80 3.417 1 100,000 105.311 105.56 100,000 1 3.354
XS2433139966 UNICREDIT TM 18/01/2028 CALL 18/01/2028 EUR Mixed Rate 1Y 0.93 2.225 1 100,000 96.09 96.19 100,000 1 2.191
XS2101558307 UNICREDIT TV 15/01/2032 CALL SUB 15/01/2032 EUR Mixed Rate 1Y 2.73 1.236 1 200,000 97.34 99.22 200,000 1 0.953
XS2104967695 UNICREDIT TV 20/01/2026 CALL 20/01/2026 EUR Mixed Rate 1Y 1.20 1.637 1 250,000 99.501 100.29 250,000 1 0.946
XS1206977495 UNIPOL 3% 18/3/25 18/03/2025 EUR Fixed rate 1Y 3.00 3.285 1 100,000 99.89 99.97 100,000 1 3.034
XS1725580622 UNIPOL 3,5% 29/11/27 CALL 29/11/2027 EUR Fixed rate 1Y 3.50 3.203 1 100,000 100.84 101.6 100,000 1 2.938
XS1784311703 UNIPOL 3,875% 01/03/2028 SUB 01/03/2028 EUR Fixed rate 1Y 3.88 3.870 1 100,000 100 101.649 100,000 1 3.330