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Список корпоративних облігацій

Czechoslovak Group, FRN 2dec2030, USD (USX1761DAJ10)
Energo - Pro, 8.5% 4feb2027, USD (XS2412048550)
Energo - Pro, 8.5% 4feb2027, USD (XS2412048550)
CPI Property Group, 5.8% perp., SGD (13) (XS2106857746)
CPI Property Group, 5.8% perp., SGD (13) (XS2106857746)
Czech Gas Networks Investments, 1% 16jul2027, EUR (XS2193733503)
CPI Property Group, 1.5% 27jan2031, EUR (17) (XS2290544068)
Czech Gas Networks Investments, 1% 16jul2027, EUR (XS2193733503)
CPI Property Group, 1.5% 27jan2031, EUR (17) (XS2290544068)
CEZ, 5.625% 3apr2042, USD (XS0764314695)
CPI Property Group, 2.875% 23apr2027, EUR (11) (XS2069407786)
CPI Property Group, 4.875% perp., EUR (9) (XS1982704824)
CEZ, 2.375% 6apr2027, EUR (31) (XS2461786829)
CEZ, 2.375% 6apr2027, EUR (31) (XS2461786829)
New World Resources, 4% 7oct2020, EUR (Conv.) (XS1107304625)
New World Resources, 8% 7apr2020, EUR (XS1107303148)
CEZ, 0.875% 2dec2026, EUR (30) (XS2084418339)
CTP N.V., 3.875% 21nov2032, EUR (10) (XS2919892179)
CEZ, 4.875% 16apr2025, EUR (XS0502286908)
CPI Property Group, 2.75% 22jan2028, GBP (12) (XS2106589471)
CPI Property Group, 3.75% perp., EUR (18) (XS2290533020)
CPI Property Group, 2.75% 22jan2028, GBP (12) (XS2106589471)
CPI Property Group, 3.75% perp., EUR (18) (XS2290533020)
Czechoslovak Group, FRN 1nov2024, CZK (CZ0003523151)
Allwyn International, 4.125% 20nov2024, EUR (XS2010038904)
CPI Property Group, 4.875% perp., EUR (16) (XS2231191748)
CPI Property Group, 4.875% perp., EUR (16) (XS2231191748)
CPI Property Group, 1.995% 8dec2028, JPY (6) (XS1917855337)
Allwyn International, 3.875% 15feb2027, EUR (XS2113253210)
CPI Property Group, 1.75% 14jan2030, EUR (21) (XS2432162654)
Allwyn International, 3.875% 15feb2027, EUR (XS2113253210)
CPI Property Group, 1.75% 14jan2030, EUR (21) (XS2432162654)
GEONE Rivery, 7.5% 25apr2022, CZK (CZ0003521601)
EP Infrastructure, 1.698% 30jul2026, EUR (XS2034622048)
Ceska Sporitelna, 0.5% 13sep2028, EUR (AT0000A2STV4)
Ceska Sporitelna, 0.5% 13sep2028, EUR (AT0000A2STV4)
J&T Banka, 9% perp., CZK (CZ0003704413)
Ceska Sporitelna, FRN perp., EUR (CZ0003704769)
Czechoslovak Group, FRN 1jul2026, CZK (CZ0003532681)
Czechoslovak Group, FRN 1jul2026, CZK (CZ0003532681)
MONETA Money Bank, 3.79% 30jan2030, CZK (CZ0003705188)
CPI Property Group, 2.75% 12may2026, EUR (15) (XS2171875839)
CTP N.V., 0.75% 18feb2027, EUR (3) (XS2303052695)
MONETA Money Bank, 3.79% 30jan2030, CZK (CZ0003705188)
CPI Property Group, 2.75% 12may2026, EUR (15) (XS2171875839)
CTP N.V., 0.75% 18feb2027, EUR (3) (XS2303052695)
Energo - Pro, 4% 7dec2022, EUR (XS1731657141)
Redstone Invest A.S., 5.1% 10dec2025, CZK (CZ0003520280)
CTP N.V., 2% 11jun2026, EUR (Conv.) (DE000A2YNQU1)
EP Infrastructure, 2.045% 9oct2028, EUR (XS2062490649)
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2026, EUR (XS2188802313)
Ceska zbrojovka Group, FRN 23mar2027, CZK (CZ0003530776)
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2026, EUR (XS2188802313)
Ceska zbrojovka Group, FRN 23mar2027, CZK (CZ0003530776)
Czech Export Bank, 2.905% 8apr2025, EUR (XS0911304326)
Heureka FinCo, 5.25% 14feb2025, CZK (CZ0003523920)
Raiffeisenbank CZ, 1% 9jun2028, EUR (2) (XS2348241048)
CTP N.V., 0.625% 27sep2026, EUR (6) (XS2390530330)
CTP N.V., 0.875% 20jan2026, EUR (8) (XS2434791690)
CETIN Group, 3.125% 14apr2027, EUR (1) (XS2468979302)
Unicredit Bank Czech Republic and Slovakia, FRN 1apr2025, CZK (Structured) (CZ0003706947)
Heureka FinCo, 5.25% 14feb2025, CZK (CZ0003523920)
Raiffeisenbank CZ, 1% 9jun2028, EUR (2) (XS2348241048)
CTP N.V., 0.625% 27sep2026, EUR (6) (XS2390530330)
CTP N.V., 0.875% 20jan2026, EUR (8) (XS2434791690)
CETIN Group, 3.125% 14apr2027, EUR (1) (XS2468979302)
Unicredit Bank Czech Republic and Slovakia, FRN 1apr2025, CZK (Structured) (CZ0003706947)
CEZ, 3% 5jun2028, EUR (XS0940293763)
Unicredit Bank Czech Republic and Slovakia, FRN 15sep2023, EUR (XS1206759406)
EP Infrastructure, 1.659% 26apr2024, EUR (XS1811024543)
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2027, EUR (XS2188802404)
CTP N.V., 2.125% 1oct2025, EUR (1) (XS2238342484)
J&T Finance Group, 7.5% perp., CZK (CZ0003527657)
CTP N.V., 0.5% 21jun2025, EUR (4) (XS2356029541)
Czech Gas Networks Investments, 0.45% 8sep2029, EUR (XS2382953789)
Ceska zbrojovka Group, FRN 27jan2029, CZK (CZ0003537029)
MND, FRN 3mar2027, CZK (CZ0003538183)
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2027, EUR (XS2188802404)
CTP N.V., 2.125% 1oct2025, EUR (1) (XS2238342484)
J&T Finance Group, 7.5% perp., CZK (CZ0003527657)
CTP N.V., 0.5% 21jun2025, EUR (4) (XS2356029541)
Czech Gas Networks Investments, 0.45% 8sep2029, EUR (XS2382953789)
Ceska zbrojovka Group, FRN 27jan2029, CZK (CZ0003537029)
MND, FRN 3mar2027, CZK (CZ0003538183)
CTP N.V., 4.25% 10mar2035, EUR (XS3017991368)
Sazka, 9% 12jul2021, EUR (XS0258547057)
New World Resources, 7.875% 15jan2021, EUR (XS0877986231)
Unicredit Bank Czech Republic and Slovakia, FRN 21dec2037, CZK (CZ0002001910)
Raiffeisenbank CZ, 4.4% 26sep2027, CZK (CZ0003704595)
Equa bank, 2.22% 28aug2021, CZK (CZ0002005804)
Allwyn International, 5.2% 23sep2024, CZK (CZ0003522930)
J&T ENERGY HOLDING, 5.1% 6feb2026, EUR (SK4000016689)
Czech Gas Networks Investments, FRN 22jul2026, CZK (XS2193733842)
Nupeh CZ, 5.9% 30oct2025, CZK (CZ0003524795)
Komercni banka, 0.01% 20jan2027, EUR (XS2289128162)
Savarin, 0% 12jan2026, CZK (1826D) (CZ0000001300)
J&T ENERGY HOLDING, 5.1% 6feb2026, EUR (SK4000016689)
Czech Gas Networks Investments, FRN 22jul2026, CZK (XS2193733842)
Nupeh CZ, 5.9% 30oct2025, CZK (CZ0003524795)
Komercni banka, 0.01% 20jan2027, EUR (XS2289128162)
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