Obbl. senza LP

Obbligazioni senza LP

Rend. Acquisto
No. proposte (in acquisto)
Q.tà Acquisto
Prezzo Acquisto
Prezzo Vendita
Q.tà Vendita
No. proposte (in vendita)
Rend. Vendita
Var %
Scheda
IT0005432635 CHIANTIBANCA S/UP 25/01/2031 25/01/2031 EUR Mixed Rate 6M 1,00 PDF
XS1273452877 CITIGROUP S/UP 18/06/2028 USD 18/06/2028 USD Mixed Rate 1Y 1,75
IT0005417818 CR FOSSANO 2,75% 10/9/27 SUB328a 10/09/2027 EUR Fixed rate 6M 2,75 PDF
IT0005274649 CR RAVENNA 1% 3/7/27 353a CALL 03/07/2027 EUR Fixed rate 6M 1,00 PDF
IT0003804264 CR RAVENNA ZC 01/02/35 42a 01/02/2035 EUR Zero Coupon - 74,98 45.000 1 3,325 PDF
IT0005378937 CR. FOSSANO 3,5% 1/8/26 SUB 322a 01/08/2026 EUR Fixed rate 6M 3,50 PDF
IT0005419087 CRA CANTU S/UP 07/09/2027 1a 07/09/2027 EUR Mixed Rate 6M 1,75 5,288 1 5.000 95,53 98,9 18.000 1 2,735 PDF
IT0005498800 CRA CANTU S/UP 18/07/2029 18/07/2029 EUR Mixed Rate 6M 2,00 98,36 7.000 1 2,892 PDF
XS2640881608 CREDEM SOCIAL 4,15% 25/07/28 25/07/2028 EUR Fixed rate 6M 4,15
XS3074457196 CREDEM TM 21/05/37 CALL 21/05/2037 EUR Mixed Rate 1Y 4,61
FR001400XJP0 CREDIT AGRICOLE TM PERP CALL - EUR Mixed Rate 3M 1 100.000 102,05 103,14 100.000 1
IT0005461238 CRFOSSANO 2,25% 15/11/28 SUB331a 15/11/2028 EUR Fixed rate 6M 2,25 PDF
DE000A2YNZW8 DAIMLER 0,375% 08/11/2026 08/11/2026 EUR Fixed rate 1Y 0,38
XS0461641309 DEUTSCHE BANK 3,23% 12/07/30 12/07/2030 EUR Fixed rate 1Y 3,23 107 3.000 1 1,514
XS0461648650 DEUTSCHE BANK TM 05/08/28 05/08/2028 EUR Mixed Rate 1Y 3,65 7,750 1 3.000 91,78
XS2964612969 DEUTSCHE BANK TV GREEN 30/04/31 30/04/2031 EUR Floating rate 3M 4,18
XS2964616879 DEUTSCHE BANK ZC 23/04/2030 23/04/2030 EUR One Coupon -
XS3032929930 DEUTSCHE BNK GREEN 2,90% 30/5/33 30/05/2033 EUR Fixed rate 1Y 2,90 5,215 1 5.000 86,5
XS3206904123 EBRD 30% 15/10/2030 TRY 15/10/2030 TRY Fixed rate 1Y 30,00
EU000A2SCAW0 EFSF 2,375% 02/02/2029 02/02/2029 EUR Fixed rate 1Y 2,38
EU000A2SCAX8 EFSF 3,125% 01/02/2036 01/02/2036 EUR Fixed rate 1Y 3,13 3,603 1 10.000 96,1 99,98 10.000 1 3,126
US29078EAA38 EMBARQ 7,995% 01/06/36 USD CALL 01/06/2036 USD Fixed rate 6M 8,00
XS2770512064 ENEL 4,75% PERPETUAL CALL 26/02/2029 EUR Mixed Rate 1Y 4,75
XS2620212386 ENGINEERING 11,125% 15/5/28 CALL 15/05/2028 EUR Fixed rate 6M 11,13
EU000A4EJF17 EU 3,625% 12/12/2040 12/12/2040 EUR Fixed rate 1Y 3,63 4,007 1 10.000 95,79 99,65 10.000 1 3,654
EU000A4ENP68 EU NEXT GEN 2,375% 12/07/29 12/07/2029 EUR Fixed rate 1Y 2,38 3,257 1 10.000 97,33 100,25 10.000 1 2,295
EU000A3LZ0X9 EU NEXT GEN 3,375% 04/10/39 04/10/2039 EUR Fixed rate 1Y 3,38 3,933 1 10.000 94,23 98,03 10.000 1 3,560
EU000A3K4ES4 EUROPE NEXT GEN 3,0% 04/12/34 04/12/2034 EUR Fixed rate 1Y 3,00 3,537 1 10.000 96,05 99,89 10.000 1 3,013
EU000A3K4EY2 EUROPE NEXT GEN 3,3765% 05/10/54 05/10/2054 EUR Fixed rate 1Y 3,38 4,307 1 10.000 84,86 89,14 10.000 1 4,021
IT0005598757 F4P2 S/UP 30/06/29 CALL CONV 30/06/2029 EUR Mixed Rate 1Y 3,50 PDF
FI4000591862 FINLANDIA 2,625% 15/04/2032 15/04/2032 EUR Fixed rate 1Y 2,63
FI4000598776 FINLANDIA 3,55% 15/04/2041 15/04/2041 EUR Fixed rate 1Y 3,55
US345370BM12 FORD 7,75% 15/6/43 USD 15/06/2043 USD Fixed rate 6M 7,75 7,436 1 25.000 103
XS2586123965 FORD MOTOR 4,867% 03/08/27 CALL 03/08/2027 EUR Fixed rate 1Y 4,87
US345370BZ25 FORD MOTOR 6,375% 01/02/2029 USD 01/02/2029 USD Fixed rate 6M 6,38
XS3036647777 FRESENIUS 3,75% 08/04/2032 CALL 08/04/2032 EUR Fixed rate 1Y 3,75
US37045XBQ88 GM 4% 6/10/26 USD CALL 06/10/2026 USD Fixed rate 6M 4,00 103,02 100.000 1 -2,251
XS2292954893 GOLDMAN SACHS 0,25% 26/1/28 CALL 26/01/2028 EUR Fixed rate 1Y 0,25 3,638 1 10.000 94,24 96,1 10.000 1 2,510
XS2536502227 GOLDMAN SACHS 4% 21/09/29 CALL 21/09/2029 EUR Fixed rate 1Y 4,00
XS2552850096 GOLDMAN SACHS S/D 22/01/34 CALL 22/01/2034 EUR Mixed Rate 1Y 4,50
XS3033845960 GOLDMAN SACHS TM 24/10/35 CALL 24/10/2035 EUR Mixed Rate 1Y 8,00
XS2829741698 GS 4,00% 17/01/2035 CALL 17/01/2035 EUR Fixed rate 1Y 4,00
XS2829724504 GS 5,30% 07/02/2042 CALL 07/02/2042 EUR One Coupon - 5,30 93 10.000 1 4,589
XS2708218800 GS 8,00% 01/03/2037 CALL 01/03/2037 EUR Mixed Rate 1Y 8,00
XS2982321460 GS S/DW 24/04/2035 CALL 24/04/2035 EUR Mixed Rate 1Y 6,00
XS2982318243 GS S/DW 24/04/2035 USD CALL 24/04/2035 USD Mixed Rate 1Y 9,00
US4581X0EJ31 IADB SUST 3,50% 12/4/33 USD 12/04/2033 USD Fixed rate 6M 3,50 4,287 1 10.000 95,29 98,15 10.000 1 3,804
US4581X0ER56 IADB SUST 3,625% 17/9/31 USD 17/09/2031 USD Fixed rate 6M 3,63 4,286 1 10.000 96,83 99,73 10.000 1 3,680
US4581X0EN43 IADB SUST 4,125% 15/2/29 USD 15/02/2029 USD Fixed rate 6M 4,13 4,335 1 10.000 99,44 102,42 10.000 1 3,223
XS1410333527 IBRD TM 31/05/26 USD 31/05/2026 USD Mixed Rate 1Y 16,376 1 216.000 98,2