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Список корпоративних облігацій

Natixis, 0% 13oct2023, USD (1824D, Structured) (XS1812508528)
Natixis, 0% 13jan2026, USD (1814D, Structured) (XS2173876470)
Natixis, 0% 14jan2027, USD (2548D, Structured) (XS1972461542)
Natixis, 0% 14dec2028, USD (2556D, Structured) (XS2303564327)
Natixis, 0% 13oct2028, USD (2555D, Structured) (XS2296939213)
Societe Generale, 0% 14nov2028, USD (233158EN/21.11) (XS2379046993)
Societe Generale, 0% 14sep2027, USD (209720EN/20.9, 2555D) (XS2176037062)
SG Issuer, 0% 13jan2023, EUR (1099D, Structured) (XS2059726500)
SG Issuer, 0% 6feb2023, GBP (1099D, Structured) (XS2088168963)
SG Issuer, 0% 6mar2023, USD (1102D, Structured) (XS2112399568)
SG Issuer, 0% 30apr2024, USD (1099D, Structured) (XS2278302042)
SG Issuer, 0% 29jan2024, USD (1098D, Structured) (XS2235889644)
SG Issuer, 0% 8apr2024, RUB (1103D, Structured) (XS2278426015)
Assistance Publique – Hopitaux de Paris, 2% 25may2053, EUR (FR0014009V06)
La Banque Postale Home Loan SFH, 1.625% 12may2030, EUR (44) (FR001400A9N7)
BNP Paribas, 2.75% 10may2030, EUR (19762) (FR001400AAK8)
SG Issuer, FRN 13nov2024, USD (Structured) (XS2379039352)
SG Issuer, 2.13% 10feb2025, USD (Structured) (XS2379103463)
SG Issuer, 0% 31dec2026, EUR (150793FR/22.1, 1802D) (FR0014007621)
SG Issuer, FRN 15oct2024, USD (Structured) (XS2347870128)
SG Issuer, FRN 23sep2024, USD (Structured) (XS2347989951)
SG Issuer, 3.14% 10dec2024, RUB (Structured) (XS2378803238)
SG Issuer, FRN 29jul2024, RUB (Structured) (XS2313866530)
SG Issuer, FRN 21jan2025, RUB (Structured) (XS2378894872)
SG Issuer, FRN 14jan2025, USD (Structured) (XS2378895176)
SG Issuer, FRN 26nov2024, EUR (Structured) (XS2378972934)
SG Issuer, FRN 16dec2024, EUR (Structured) (XS2378821990)
BNP Paribas Issuance, 0% 18mar2027, EUR (EI1171EAG, 1826D) (FR0014008FF5)
Credit Agricole CIB Financial Solutions, 0% 18may2027, EUR (3005, 1819D) (FR9348FS9642)
BNP Paribas, 0% 10may2027, USD (1861D, Structured) (XS2358193097)
BNP Paribas Issuance, 0% 10jun2031, EUR (EI5541ARL, 3354D) (FR0014009CK0)
BNP Paribas, FRN 30may2025, EUR (E19760) (XS2478313807)
Credit Mutuel CIC Home Loan, 2.375% 8feb2028, EUR (50) (FR001400B9U1)
Credit Agricole CIB, 3.7% 11mar2032, AUD (XS2317953912)
Credit Agricole CIB, 0% 15oct2051, EUR (S5327, 10957D) (XS2185438715)
Credit Agricole CIB, 5.4% 18jul2032, HKD (XS2317965171)
BNP Paribas, FRN 30jun2025, USD (E19790) (XS2489936000)
BNP Paribas, 8.55% 18jul2030, PLN (19810) (FR001400BM07)
Credit Agricole CIB, FRN 4dec2029, EUR (FR7271CA0094)
Credit Agricole CIB, 3.63% 10jan2029, EUR (Structured) (FR9347FS5104)
BNP Paribas Issuance, 3.5% 11jul2025, USD (XS2392623927)
BNP Paribas, 2.2% 31mar2024, USD (E18093) (XS1571156261)
Credit Agricole CIB, 2.25% 13dec2028, USD (US22533AFG76)
Credit Agricole CIB, 5.12% 3mar2023, INR (4666) (XS1996617871)
Credit Agricole CIB, 11.19% 15jan2026, TRY (5109) (XS2185409294)
Credit Agricole CIB, 11.64% 24mar2027, TRY (5183) (XS2185415853)
Credit Agricole CIB, 0% 5nov2024, TRY (1097D) (XS2185431546)
Credit Agricole CIB, 0% 7aug2028, GBP (2551D, Structured) (XS2185425902)
BNP Paribas Issuance, FRN 15dec2025, EUR (Structured) (XS2673624834)
Compagnie De Financement Foncier, 2.625% 29oct2029, EUR (700) (FR001400TM31)
CARMILA, 3.875% 25jan2032, EUR (FR001400T5R5)
Amundi, 3.9% 30jun2028, EUR (Structured) (FR001400HX99)
Societe Generale, 0% 18sep2029, EUR (1807D, Structured) (XS2881842160)
Societe Generale, FRN 29dec2034, EUR (Structured) (XS2781245845)
Caisse de Refinancement, 2.75% 6sep2030, EUR (FR001400SF15)
Credit Agricole CIB, 1.306% 4mar2036, JPY (XS2559737460)
BNP Paribas, 0% 19oct2027, EUR (1429D, Structured) (XS2630609621)
BNP Paribas Issuance, 8.25% 8jan2026, EUR (Structured) (XS2479723749)
BNP Paribas, 0% 18apr2029, EUR (1826D, Structured) (XS2749283284)
BNP Paribas, 0% 26may2025, EUR (732D, Structured) (XS2515113574)
BNP Paribas, 7.75% 22feb2034, EUR (14995, Structured) (XS2606081268)
BNP Paribas, 0% 24nov2025, USD (549D, Structured) (XS2777186854)
BNP Paribas, 6% 20sep2039, EUR (Structured) (XS2840454917)
BNP Paribas, FRN 29nov2027, EUR (FINTE 18117 CI) (XS2869876990)
BNP Paribas Issuance, 1.5% 31oct2036, EUR (XS2840431386)
BNP Paribas Issuance, 6.35% 8jan2025, EUR (Structured) (XS2030702505)
BNP Paribas Issuance, FRN 26nov2027, EUR (Structured) (XS2880942094)
BNP Paribas, 0% 12jul2029, EUR (3650D, Structured) (XS1960178793)
Societe Generale, 0% 11sep2026, USD (1778D, Structured) (XS2347694130)
Natixis, 0% 9jan2026, USD (1639D, Structured) (XS2280152021)
Societe Generale, 0% 13nov2025, USD (1774D, Structured) (XS2236086984)
Societe Generale SCF, FRN 20dec2027, EUR (58) (FR001400UQV9)
Credit Agricole SA, 5.5% 31jul2032, GBP (710) (FR001400WK79)
BNP Paribas, FRN 19jul2027, USD (394, Structured)
BNP Paribas, 0% 19jan2029, USD (1827D, Structured) (US09662Q4091)
BNP Paribas, FRN 15nov2027, USD (Structured)
SG Issuer, 0% 14feb2028, USD (1097D) (XS2970973934)
BNP Paribas, 0% 3jun2025, EUR (1301D, Structured) (XS2317913700)
BNP Paribas Issuance, 0% 3oct2030, SEK (2206D) (SE0022244323)
BNP Paribas, 0% 26feb2035, EUR (3721D, Structured) (XS2638606082)
Caisse des depots et consignations, 0.81% 27feb2030, CHF (412) (CH1414003520)
BNP Paribas, 0% 13nov2029, EUR (2219D, Structured) (XS2638605191)
SG Issuer, 10.6% 2dec2025, USD (Structured) (CH1383930869)
BNP Paribas, 0% 23jun2025, USD (733D, Structured) (XS2519475623)
Societe Generale, 5.5% 3sep2039, USD (283783EN/24.9) (XS2881795228)
BNP Paribas, 0% 12feb2031, GBP (2184D, Structured) (XS2942734174)
BNP Paribas Issuance, 0% 4jul2029, SEK (1874D, Structured) (SE0021627346)
La Banque Postale, 4.215% 6oct2034, EUR (FR001400CWQ5)
BNP Paribas, 3.312% 22jan2027, EUR (FR001400ND79)
BNP Paribas Issuance, FRN 13jun2029, EUR (Structured) (FR001400P5Q1)
BNP Paribas Issuance, 0% 31jul2034, EUR (3652D, Structured) (FR001400QJC2)
SG Issuer, FRN 22sep2036, USD (Structured) (FRSG00015B73)
Natixis, FRN 2may2035, EUR (FR001400HLI4)
Crelan Home Loan SCF, 3.348% 19mar2032, EUR (FR001400Y1V9)
BpiFrance Financement, 3.875% 22oct2028, GBP (FR001400SNS6)
BNP Paribas Issuance, FRN 3jun2034, EUR (Structured) (FR001400OJ07)
BNP Paribas Issuance, FRN 22dec2036, EUR (Structured) (FR001400RA03)
BNP Paribas Issuance, 0% 8jan2035, EUR (3828D, Structured) (FR001400RPX3)
BPCE, FRN 21jul2028, USD (2023-48) (FR001400JCP4)
BNP Paribas Issuance, FRN 18dec2036, EUR (Structured) (FR001400R1Y2)
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