Vorvel - Ricerca

Vorvel Bonds Obbligazioni corporate XS0162869076 TELEFONICA EUROP 5,875%14/02/33 14/02/2033 EUR Fixed rate Fixed rate 1Y 5,88
Vorvel Equities (Azioni) Azioni italiane LU2598331598 TENARIS - EUR Zero Coupon Zero Coupon -
Vorvel Equities (Azioni) Azioni italiane IT0003242622 TERNA - EUR Zero Coupon Zero Coupon -
Vorvel Bonds Obbligazioni corporate XS1503131713 TERNA 1% 11/10/2028 11/10/2028 EUR Fixed rate Fixed rate 1Y 1,00
Vorvel Bonds Obbligazioni corporate XS2607193435 TERNA 3,625% 21/04/2029 CALL 21/04/2029 EUR Fixed rate Fixed rate 1Y 3,63
Vorvel Bonds Obbligazioni corporate XS2655852726 TERNA GREEN 3,875% 24/07/33 CALL 24/07/2033 EUR Fixed rate Fixed rate 1Y 3,88
Vorvel Bonds Obbligazioni corporate XS1652866002 TERNA SPA 1,375% 26/07/2027 26/07/2027 EUR Fixed rate Fixed rate 1Y 1,38
Vorvel Bonds Obbligazioni corporate US88167AAF84 TEVA 4,10% 01/10/2046 USD CALL 01/10/2046 USD Fixed rate Fixed rate 6M 4,10
Vorvel Bonds Obbligazioni senza LP US88167AAE10 TEVA 3,15% 01/10/26 CALL USD 01/10/2026 USD Fixed rate Fixed rate 6M 3,15
Vorvel Bonds Obbligazioni senza LP US88163VAD10 TEVA 6,15% 01/02/36 CALL USD 01/02/2036 USD Fixed rate Fixed rate 6M 6,15
Vorvel Bonds Obbligazioni corporate XS1439749364 TEVA FIN 1,625% 15/10/2028 CALL 15/10/2028 EUR Fixed rate Fixed rate 1Y 1,63
Vorvel Bonds Obbligazioni corporate XS1211044075 TEVA PHARMA 1,875% 31/3/27 CALL 31/03/2027 EUR Fixed rate Fixed rate 1Y 1,88
Vorvel Bonds Obbligazioni corporate XS2288109676 TIM 1,625% 18/01/2029 CALL 18/01/2029 EUR Fixed rate Fixed rate 1Y 1,63
Vorvel Bonds Obbligazioni corporate XS1982819994 TIM 2,75% 15/04/2025 CALL 15/04/2025 EUR Fixed rate Fixed rate 1Y 2,75
Vorvel Bonds Obbligazioni corporate XS1846631049 TIM 2,875% 28/01/2026 CALL 28/01/2026 EUR Fixed rate Fixed rate 1Y 2,88
Vorvel Bonds Obbligazioni corporate US87927VAF58 TIM 6,375% 15/11/2033 USD CALL 15/11/2033 USD Fixed rate Fixed rate 6M 6,38
Vorvel Bonds Obbligazioni corporate XS2637954582 TIM 7,875% 31/07/2028 CALL 31/07/2028 EUR Fixed rate Fixed rate 6M 7,88
Vorvel Bonds Obbligazioni corporate XS1698218523 TIM CAP 2,375% 12/10/27 CALL 12/10/2027 EUR Fixed rate Fixed rate 1Y 2,38
Vorvel Bonds Obbligazioni corporate US87927VAM00 TIM CAP 6% 30/9/34 CALL USD 30/09/2034 USD Fixed rate Fixed rate 6M 6,00
Vorvel Bonds Obbligazioni corporate US87927VAR96 TIM CAPITAL 7,20% 18/07/36 USD 18/07/2036 USD Fixed rate Fixed rate 6M 7,20
Vorvel Bonds Obbligazioni corporate US87927VAV09 TIM CAPITAL 7,721% 04/06/38 USD 04/06/2038 USD Fixed rate Fixed rate 6M 7,72
Vorvel Bonds Obbligazioni corporate XS2056488013 TOYOTA 1,35% 22/10/2026 USD 22/10/2026 USD Mixed Rate Mixed Rate 1Y 2,00
Vorvel Bonds Obbligazioni corporate US89236TDR32 TOYOTA 3,20 11/01/2027 USD CALL 11/01/2027 USD Fixed rate Fixed rate 6M 3,20
Vorvel Bonds Obbligazioni corporate XS1885506813 TOYOTA MOTOR S/UP 24/10/25 USD 24/10/2025 USD Mixed Rate Mixed Rate 1Y 4,05
Vorvel Bonds Obbligazioni Mercati Emergenti US900123AL40 TURCHIA 11,875% 15/1/2030 USD 15/01/2030 USD Fixed rate Fixed rate 6M 11,88
Vorvel RFQ Obbligazioni Mercati Emergenti US900123AL40 TURCHIA 11,875% 15/1/2030 USD 15/01/2030 USD Fixed rate Fixed rate 6M 11,88
Vorvel Bonds Obbligazioni Mercati Emergenti US900123BB58 TURCHIA 7,25% 05/03/2038 USD 05/03/2038 USD Fixed rate Fixed rate 6M 7,25
Vorvel Bonds Obbligazioni Mercati Emergenti US900123AT75 TURCHIA 8% 14/02/2034 USD 14/02/2034 USD Fixed rate Fixed rate 6M 8,00
Vorvel Certificates Certificati di investimento DE000UW46WY4 UBS EquityPr STOXX Europe ESG 02/09/2027 02/09/2027 EUR Zero Coupon Zero Coupon -
Vorvel Bonds Titoli di stato Esteri GB00BL68HJ26 UK GILT 0,125% 30/01/2026 GBP 30/01/2026 GBP Fixed rate Fixed rate 6M 0,13
Vorvel Bonds Titoli di stato Esteri GB00BMGR2809 UK GILT 0,25% 31/07/2031 GBP 31/07/2031 GBP Fixed rate Fixed rate 6M 0,25
Vorvel Bonds Titoli di stato Esteri GB00BLPK7227 UK GILT 0,50% 31/01/2029 GBP 31/01/2029 GBP Fixed rate Fixed rate 6M 0,50
Vorvel Bonds Titoli di stato Esteri GB00BK5CVX03 UK GILT 0,625% 07/06/2025 GBP 07/06/2025 GBP Fixed rate Fixed rate 6M 0,63
Vorvel Bonds Titoli di stato Esteri GB00BMGR2916 UK GILT 0,625% 31/07/2035 GBP 31/07/2035 GBP Fixed rate Fixed rate 6M 0,63
Vorvel Bonds Titoli di stato Esteri GB00BJMHB534 UK GILT 0,875% 22/10/2029 GBP 22/10/2029 GBP Fixed rate Fixed rate 6M 0,88
Vorvel Bonds Titoli di stato Esteri GB00BDRHNP05 UK GILT 1,25% 22/07/2027 GBP 22/07/2027 GBP Fixed rate Fixed rate 6M 1,25
Vorvel Bonds Titoli di stato Esteri GB00BJQWYH73 UK GILT 1,25% 22/10/2041 GBP 22/10/2041 GBP Fixed rate Fixed rate 6M 1,25
Vorvel Bonds Titoli di stato Esteri GB00BLH38158 UK GILT 1,25% 31/07/2051 GBP 31/07/2051 GBP Fixed rate Fixed rate 6M 1,25
Vorvel Bonds Titoli di stato Esteri GB00BYZW3G56 UK GILT 1,50% 22/07/2026 GBP 22/07/2026 GBP Fixed rate Fixed rate 6M 1,50
Vorvel Bonds Titoli di stato Esteri GB00BD0XH204 UK GILT 1,75% 22/07/2057 GBP 22/07/2057 GBP Fixed rate Fixed rate 6M 1,75
Vorvel Bonds Titoli di stato Esteri GB00BTHH2R79 UK GILT 2,00% 07/09/2025 GBP 07/09/2025 GBP Fixed rate Fixed rate 6M 2,00
Vorvel Bonds Titoli di stato Esteri GB00B84Z9V04 UK GILT 3,25% 22/1/44 GBP 22/01/2044 GBP Fixed rate Fixed rate 6M 3,25
Vorvel Bonds Titoli di stato Esteri GB00BMV7TC88 UK GILT 3,25% 31/01/2033 GBP 31/01/2033 GBP Fixed rate Fixed rate 6M 3,25
Vorvel Bonds Titoli di stato Esteri GB00BN65R313 UK GILT 3,50% 22/01/2045 GBP 22/01/2045 GBP Fixed rate Fixed rate 6M 3,50
Vorvel Bonds Titoli di stato Esteri GB00BPCJD880 UK GILT 3,50% 22/10/2025 GBP 22/10/2025 GBP Fixed rate Fixed rate 6M 3,50
Vorvel Bonds Titoli di stato Esteri GB00BPCJD997 UK GILT 3,75% 22/10/2053 GBP 22/10/2053 GBP Fixed rate Fixed rate 6M 3,75
Vorvel Bonds Titoli di stato Esteri GB00BQC4R999 UK GILT 3,75% 29/01/2038 GBP 29/01/2038 GBP Fixed rate Fixed rate 6M 3,75
Vorvel Bonds Titoli di stato Esteri GB00BL6C7720 UK GILT 4,125% 29/01/2027 GBP 29/01/2027 GBP Fixed rate Fixed rate 6M 4,13
Vorvel Bonds Titoli di stato Esteri GB0032452392 UK GILT 4,25% 07/03/2036 GBP 07/03/2036 GBP Fixed rate Fixed rate 6M 4,25
Vorvel Bonds Titoli di stato Esteri GB0004893086 UK GILT 4,25% 07/06/2032 GBP 07/06/2032 GBP Fixed rate Fixed rate 6M 4,25