Monday, July 22, 2024 - 09:28

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
IT0005389744CC VALD. FIORENTINO 1% 15/11/2415/11/2024EURFixed rate6M1.00
IT0005408775CC VALD. FIORENTINO 1,5% 18/5/2518/05/2025EURFixed rate6M1.50
IT0005056152CHIANTIBANCA 3,00% 01/10/202401/10/2024EURFixed rate3M3.0012.529110,00098.25
IT0005119349CHIANTIBANCA 3,00% 18/06/202518/06/2025EURFixed rate6M3.006.54615,00097.0198.955,00014.231
IT0005123234CHIANTIBANCA 3,00% 20/07/202520/07/2025EURFixed rate6M3.005.337116,00097.8499.847,00013.190
IT0004567548CHIANTIBANCA 4,75% 07/01/202507/01/2025EURFixed rate6M4.75
IT0005398901CHIANTIBANCA S/UP 03/02/202803/02/2028EURMixed Rate6M2.00
IT0005379539CHIANTIBANCA S/UP 15/07/202515/07/2025EURMixed Rate6M2.707.128110,0009698.910,00013.894
IT0005432635CHIANTIBANCA S/UP 25/01/203125/01/2031EURMixed Rate6M0.70
IT0005358863CHIANTIBANCA S/UP 28/01/202528/01/2025EURMixed Rate6M2.707.558110,00097.6199.3510,00013.998
IT0004003494CHIANTIBANCA ZC 01/01/202601/01/2026EURZero Coupon-
IT0005160715CHIANTIBANCA ZC 01/02/202601/02/2026EURZero Coupon-
IT0003954226CHIANTIBANCA ZC 01/12/202501/12/2025EURZero Coupon-955,00013.857
IT0005138836CHIANTIBANCA ZC 03/11/202503/11/2025EURZero Coupon-
XS2110112971CITIGROUP SOCIAL 3,28% 02/12/2502/12/2025EURFixed rate1Y3.28
IT0005417826CR FOSSANO 2,25% 10/9/25 SUB327a10/09/2025EURFixed rate6M2.25
IT0005417818CR FOSSANO 2,75% 10/9/27 SUB328a10/09/2027EURFixed rate6M2.75
IT0005274649CR RAVENNA 1% 3/7/27 353a CALL03/07/2027EURFixed rate6M1.00
IT0003804264CR RAVENNA ZC 01/02/35 42a01/02/2035EURZero Coupon-
IT0005378929CR. FOSSANO 3% 01/08/24 SUB 321a01/08/2024EURFixed rate6M3.00
IT0005378937CR. FOSSANO 3,5% 1/8/26 SUB 322a01/08/2026EURFixed rate6M3.50
IT0005419087CRA CANTU S/UP 07/09/2027 1a07/09/2027EURMixed Rate6M1.255.230110,00090.01955,00013.426
IT0005498800CRA CANTU S/UP 18/07/202918/07/2029EURMixed Rate6M2.00
IT0005399925CRA CANTU TM 24/02/202524/02/2025EURMixed Rate6M4.905.256113,00099.8100.3913,00014.220
IT0005320129CRBZ SPARKASSE 5,75% 29/12/24SUB29/12/2024EURFixed rate1Y5.75
IT0005461238CRFOSSANO 2,25% 15/11/28 SUB331a15/11/2028EURFixed rate6M2.25
DE000A2YNZW8DAIMLER 0,375% 08/11/202608/11/2026EURFixed rate1Y0.38
XS2770512064ENEL 4,75% PERPETUAL CALL26/02/2029EURMixed Rate1Y4.75
IT0005598757F4P2 S/UP 30/06/29 CALL CONV30/06/2029EURMixed Rate1Y3.00100490,00013.294
US345370BM12FORD 7,75% 15/6/43 USD15/06/2043USDFixed rate6M7.75
XS2586123965FORD MOTOR 4,867% 03/08/27 CALL03/08/2027EURFixed rate1Y4.87
US345370BZ25FORD MOTOR 6,375% 01/02/2029 USD01/02/2029USDFixed rate6M6.385.991112,000101.5105.7450,00014.942
XS0222383027GLAXOSMITHKLINE 4% 16/06/202516/06/2025EURFixed rate1Y4.00
US37045XBQ88GM 4% 6/10/26 USD CALL06/10/2026USDFixed rate6M4.00
US37045XBG07GM 5,25% 1/3/26 USD CALL01/03/2026USDFixed rate6M5.25
XS2292954893GOLDMAN SACHS 0,25% 26/1/28 CALL26/01/2028EURFixed rate1Y0.25
XS2536502227GOLDMAN SACHS 4% 21/09/29 CALL21/09/2029EURFixed rate1Y4.00
XS2521873328GOLDMAN SACHS 5,0% 28/09/32 CALL28/09/2032EURFixed rate1Y5.00
XS2552850096GOLDMAN SACHS S/D 22/01/34 CALL22/01/2034EURMixed Rate1Y8.00
XS2708218800GS 8,00% 01/03/2037 CALL01/03/2037EURMixed Rate1Y8.00
XS1529515584HEIDLBERG 1,50% 07/2/25 CALL07/02/2025EURFixed rate1Y1.50
XS2745705637INTESA SANPAOLO S/D 12/1/32 USD12/01/2032USDMixed Rate3M7.00
XS2804483381INTESA SANPAOLO TV 16/04/2716/04/2027EURFloating rate3M4.26
XS1551294256ISRAELE 1,5% 18/1/2718/01/2027EURFixed rate1Y1.00
XS2824640713LOTTOMATICA TM 01/06/31 CALL01/06/2031EURFloating rate3M7.05
XS2533094400MEDIOBANCA 3,40% 21/10/202621/10/2026EURFixed rate1Y3.403.409250,00099.97
XS1203941775METRO 1,5% 19/03/202519/03/2025EURFixed rate1Y1.50
XS2778370051METRO 4,625% 07/03/2029 CALL07/03/2029EURFixed rate1Y4.63
XS0835891838PETROBRAS 5,375%1/10/29 GBP01/10/2029GBPFixed rate1Y5.38
US71647NAA72PETROBRAS 5,625% 20/5/43 USD20/05/2043USDFixed rate6M5.63