Lunedì, Maggio 20, 2024 - 16:46

Obbligazioni bancarie (EUR)

ISIN
Descrizione
Scadenza
Valuta
Tipo Cedola
Info Cedola
Cedola %
Rend. Acquisto
No. proposte (in acquisto)
Q.tà Acquisto
Prezzo Acquisto
Prezzo Vendita
Q.tà Vendita
No. proposte (in vendita)
Rend. Vendita
Var %
Scheda
XS2013745703BCO BILBAO GREEN 1,00% 21/06/2621/06/2026EURFixed rate1Y1,004,0901100.00093,9595,81100.00013,109
XS1973750869MEDIOBANCA 1,625% 07/01/202507/01/2025EURFixed rate1Y1,633,9501100.00098,5698,69100.00013,736
XS1941841311GENERALI 3,875% 29/01/2029 SUB29/01/2029EURFixed rate1Y3,883,9191100.00099,8100,49100.00013,755
XS1796209010GOLDMAN SACHS 2% 22/03/202822/03/2028EURFixed rate1Y2,004,3041100.00092,0196,5100.00012,979
XS1785340172INTESA SANPAOLO 1,75% 20/03/2820/03/2028EURFixed rate1Y1,753,6831100.00093,2193,34100.00013,644
XS1784311703UNIPOL 3,875% 01/03/2028 SUB01/03/2028EURFixed rate1Y3,884,0661100.00099,33100,28100.00013,790
XS1752894292MONTE PASCHI TV 18/1/28 CALL SUB18/01/2028EURMixed Rate1Y7,715,8371100.000105,96108,5100.00015,090
XS1750986744ENEL FIN GREN 1,125% 16/9/26 CAL16/09/2026EURFixed rate1Y1,133,9591100.00093,8395,13100.00013,340
XS1725580622UNIPOL 3,5% 29/11/27 CALL29/11/2027EURFixed rate1Y3,503,7571100.00099,15100,49100.00013,346
XS1612940558KFW GREEN 0,25% 30/06/202530/06/2025EURFixed rate1Y0,253,5841100.00096,445
XS1603892149MORGAN STANLEY 1,875% 27/04/202727/04/2027EURFixed rate1Y1,883,7511100.00094,8896,59100.00013,109
XS1538284230CR. AGRICOLE 1,875% 20/12/2620/12/2026EURFixed rate1Y1,883,9481100.0009598,19100.00012,607
XS1508450688UNICREDIT 2,125% 24/10/2624/10/2026EURFixed rate1Y2,133,6471100.00096,5296,73100.00013,553
XS1457608286CITIGROUP 1,50% 26/10/2028 CALL26/10/2028EURFixed rate1Y1,503,6591100.00091,3193,91100.00012,987
XS1428773763GENERALI TM SUB CALL 8/6/4808/06/2048EURMixed Rate1Y5,004,9051100.000102,26103,79100.00014,797
XS1402921412JP MORGAN 1,50% 29/10/202629/10/2026EURFixed rate1Y1,503,6931100.00094,9796,68100.00012,929
XS1311440082GENERALI TM SUB CALL 27/10/4727/10/2027EURMixed Rate1Y5,504,3021100.000103,72104,33100.00014,113
XS1222597905INTESA SPAOLO 2,855% 23/04/25 SU23/04/2025EURFixed rate1Y2,864,1311100.00098,8699,24100.00013,700
XS1218821756ABN AMRO BANK 1,00% 16/04/202516/04/2025EURFixed rate1Y1,005,902150.00095,810050.00010,999
XS1206977495UNIPOL 3% 18/3/2518/03/2025EURFixed rate1Y3,004,1231100.00099,0999,28100.00013,883
XS1204154410CR. AGRICOLE 2,625% 17/03/27 SUB17/03/2027EURFixed rate1Y2,634,2181100.00095,8498,65100.00013,131
XS1173792059CITIGROUP 1,75% 28/01/202528/01/2025EURFixed rate1Y1,754,5471100.00098,13100,17100.00011,490
XS1116263325GOLDMAN SACHS 2,125% 30/09/202430/09/2024EURFixed rate1Y2,135,1851100.00098,9100,07100.00011,902
XS1109765005INTESA S.PAOLO 3,928% 15/9/26SUB15/09/2026EURFixed rate1Y3,933,9991100.00099,83100,24100.00013,810
XS1107727007CITIGROUP 2,125% 10/09/202610/09/2026EURFixed rate1Y2,133,9441100.00096,0697,65100.00013,196
XS1074144871GOLDMAN SACHS 2,875% 03/06/202603/06/2026EURFixed rate1Y2,883,5271100.00098,7499,64100.00013,060
XS1062900912GENERALI 4,125% SUB 04/05/202604/05/2026EURFixed rate1Y4,133,8311100.000100,54101,36100.00013,391
XS0452314536GENERALI 5,125% 16/09/202416/09/2024EURFixed rate1Y5,134,4021100.000100,18100,48100.00013,486
IT0005586729BANCO BPM TM 18/06/2034 SUB CALL18/06/2034EURMixed Rate1Y5,005,2141200.00098,36100,81200.00014,897
IT0005583460BPER BANCA TM GREEN 20/2/30 CALL20/02/2030EURFloating rate-1100.000100,56101,56100.0001
IT0005568719CASSA DDPP TM 04/12/202904/12/2029EURMixed Rate3M5,004,629150.000101,8104,550.00014,087
IT0005565491ICCREA BANCA S/UP 29/09/2829/09/2028EURMixed Rate6M4,754,775120.000102,06102,90920.00014,561-0,391
IT0005561367BANCA IFIS 6,875% 13/09/202813/09/2028EURFixed rate1Y6,886,0521100.000103107,8100.00014,819
IT0005561243BPER BANCA TM 11/09/2029 CALL11/09/2029EURMixed Rate1Y5,754,6531150.000104,91106,19150.00014,387
IT0005549479BANCO BPM TM GREEN 14/6/28 CALL14/06/2028EURMixed Rate1Y6,004,7121150.000104,75105,25150.00014,578
IT0005523896BPER BANCA TM 01/02/28 CALL01/02/2028EURMixed Rate1Y6,134,5241150.000105,4105,9150.00014,379
IT0005518698ICCREA BANCA S/UP 28/11/202728/11/2027EURMixed Rate6M4,634,878110.000102,5102,8510.00014,771-0,0583
IT0005479040ICCREA BANCA S/UP 30/12/202630/12/2026EURMixed Rate6M2,004,083110.00095,3696,2960.00023,695
IT0005447039ICCREA BANCA S/UP 01/07/202601/07/2026EURMixed Rate6M1,603,974120.00096,09198,1920.00012,915
IT0005374043CASSA DDPP TM 28/06/202628/06/2026EURMixed Rate3M5,844,0371100.000103,616103,7850.00013,956
IT0005204406UNICREDIT TV 31/08/202431/08/2024EURMixed Rate3M4,654,3952200.000100,07100,25100.00013,734
IT0005143653ICCREA BANCA TM 16/11/202516/11/2025EURMixed Rate6M5,104,8541100.000100,35104,6150.00011,981
IT0001200390INTESA SANPAOLO ZC 17/02/2817/02/2028EURZero Coupon-4,0111100.00086,3288,41100.00013,348
IT0000966017INTESA S. PAOLO ZC 08/01/202708/01/2027EURZero Coupon-4,2491100.00089,6391,45100.00013,455
FR001400KY69RCI BANQUE 4,875% 02/10/29 CALL02/10/2029EURFixed rate1Y4,884,337150.000102,5105,19100.00013,783
FR001400H2O3RCI BANQUE 4,50% 06/04/27 CALL06/04/2027EURFixed rate1Y4,503,9901100.000101,35101,63100.00013,886
FR001400F0U6RCI BANQUE 4,625% 13/7/26 CALL13/07/2026EURFixed rate1Y4,63
FR001400E904RCI BANQUE 4,125% 01/12/25 CALL01/12/2025EURFixed rate1Y4,134,0281100.000100,12100,35100.00013,871
FR001400CRG6RCI BANQUE 4,875% 21/9/28 CALL21/09/2028EURFixed rate1Y4,883,954150.000103,58104,0750.00013,833
FR001400B1L7RCI BANQUE 4,75% 06/07/27 CAL06/07/2027EURFixed rate1Y4,754,327150.000101,2104,250.00013,309