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Список корпоративних облігацій
UBS, FRN 29nov2033, EUR (SPLB2021-19YE) (FR0014005062)
UBS, FRN 25nov2031, EUR (SPLB2021-1YB4) (FR0014005377)
Bank Cler, 0% 16dec2053, CHF (12755D) (CH0379865576)
Credit Suisse (London Branch), 3.7% 10mar2029, AUD (SPLB2022-4049) (XS2438485042)
Credit Suisse (London Branch), 3.87% 16mar2029, AUD (SPBL2022-4066) (XS2438467578)
Pfandbriefzentrale der schweizerischen Kantonalbanken, 0.75% 19aug2030, CHF (CH1170565654)
Leonteq Securities (Guernsey Branch), FRN 12aug2024, EUR (Structured) (CH1121831890)
Leonteq Securities (Guernsey Branch), FRN 18oct2023, USD (Structured) (CH1139077775)
Leonteq Securities (Guernsey Branch), FRN 18sep2023, USD (Structured) (CH0433740070)
Credit Suisse (London Branch), FRN 11jun2024, USD (Structured) (CH1114357473)
ABB, 0.75% 25mar2027, CHF (CH1168499775)
UBS Group, 0% 29mar2047, USD (9131D) (CH1167887269)
Leonteq Securities (Guernsey Branch), 0% 1apr2024, USD (1091D, Structured) (CH1107631397)
UBS Group, 1.1% 4apr2028, JPY (CH1174335773)
EPH European Property Holdings, 2% 30sep2023, EUR (CH1177844367)
Credit Suisse (London Branch), FRN 3jun2024, EUR (Structured) (CH1114357093)
Pfandbriefbank schweizerischer Hypothekarinstitute, 1.625% 3may2038, CHF (CH1179535021)
Zurich Cantonal Bank, 0% 12sep2022, CHF (123D) (CH0589644530)
Leonteq Securities (Guernsey Branch), FRN 28aug2023, RUB (Structured) (CH0559567927)
UBS Group, 3.73% 17may2037, EUR (CH1182086871)
Leonteq Securities (Guernsey Branch), 4.4% 24may2023, EUR (Structured) (CH1186545633)
Leonteq Securities (Guernsey Branch), FRN 29jul2022, USD (Structured) (CH0584956020)
Leonteq Securities (Guernsey Branch), 2.75% 27nov2023, USD (Structured) (CH0445341438)
Alpiq Holding, 1.625% 30may2025, CHF (CH1184694755)
Credit Suisse (London Branch), 4.35% 11may2026, CNY (XS2455461223)
Credit Suisse (London Branch), FRN 13jun2025, USD (SPBL 2022-452) (XS2472408884)
UBS (London Branch), FRN 3aug2025, USD (B) (US90279DBY13)
Credit Suisse (London Branch), 1% 30dec2023, EUR (CH1183756753)
UBS Switzerland, 1.875% 29jun2027, CHF (CH1194355082)
Nestle S.A., 2.5% 14jul2034, CHF (C) (CH1194355124)
Primeo Holding, 1.875% 23sep2026, CHF (CH1196217009)
BLS AG, 2% 26jul2047, CHF (CH1199322343)
Eurofima, 1.625% 20jul2027, EUR (213) (XS2502850865)
CANOL-REKLAME AG, 0% 16dec2054, CHF (12789D, Structured) (XS2016150380)
Temenos, 1.5% 28nov2025, CHF (CH0508785745)
UBS Group, 0.65% 14jan2028, EUR (CH0517825276)
Swiss Auto Lease, 0.15% 23mar2028, CHF (ABS) (CH0465044656)
Pfandbriefbank schweizerischer Hypothekarinstitute, 0% 16aug2023, CHF (1386D) (CH0502393348)
UBS Switzerland, 0% 31jul2025, CHF (2008D, Structured) (CH0520663581)
Credit Suisse (London Branch), 0% 28jan2025, USD (1824D, Structured) (XS2102253668)
Amag Leasing AG, 0.5% 12nov2025, CHF (CH0502393405)
Crealogix Holding, 1.5% 6nov2024, CHF (Conv.) (CH0419047227)
Zurich Airport, 0.2% 26feb2035, CHF (CH0520663672)
Bank Julius Baer (Guernsey Branch), 0% 2feb2021, USD (CH0395776336)
Aargauische Kantonalbank, 0.01% 18feb2030, CHF (CH0506071106)
Pfandbriefbank schweizerischer Hypothekarinstitute, 0% 25feb2028, CHF (2922D) (CH0525158397)
Credit Suisse (London Branch), 0% 20feb2025, EUR (1820D, Structured) (XS2116610978)
Syngenta Finance, 0.7% 9dec2026, CHF (CH0525158447)
Nestle S.A., 1.125% 1apr2026, EUR (99) (XS2148372696)
Operational RE III, FRN 10jan2024, USD (XS2139738277)
Leonteq Securities (Guernsey Branch), 36.45% 6apr2022, USD (CH0528264606)
Nestle S.A., 0.125% 12nov2027, EUR (102) (XS2170362672)
Aeroport International De Geneve, 1.05% 26may2023, CHF (CH0539032943)
Adecco, 0.875% 27nov2025, CHF (14) (CH0539032950)
Nant De Drance, 1.25% 25jun2027, CHF (CH0543827205)
Leonteq Securities (Guernsey Branch), FRN 5jun2023, USD (Structured) (CH0546655561)
Banque Cantonale de Fribourg, 0.14% 12jun2030, CHF (CH0506071270)
Credit Suisse (London Branch), FRN 7jul2023, RUB (Structured) (XS2188592591)
UBS (London Branch), 3.25% 17apr2035, AUD (XS2025042057)
Glencore International AG, 3.7% 23oct2023, EUR (XS0983855924)
UBS (London Branch), FRN 14jul2022, USD (Structured) (CH0552942853)
UBS, FRN 3sep2021, USD (XS1696965869)
Pfandbriefzentrale der schweizerischen Kantonalbanken, 0% 21jun2028, CHF (2848D) (CH0536893198)
Credit Suisse (London Branch), FRN 2oct2023, RUB (Structured) (XS2231695201)
Azienda Elettrica Ticinese, 1.375% 29oct2035, CHF (CH0301300627)
Kraftwerke Linth-Limmern AG, 3% 28jun2041, CHF (CH0132133486)
Banque Cantonal du Jura (BCJ), 0.1% 24jan2031, CHF (CH0536893461)
Zurich Cantonal Bank, 0% 3may2021, EUR (181D) (CH0570576196)
Pfandbriefzentrale der schweizerischen Kantonalbanken, 0.625% 16jul2029, CHF (462) (CH0536893545)
Gommerkraftwerke, 3.5% 12feb2022, CHF (CH0031828947)
Cloverie Plc, FRN 31oct2033, CLP (2007-53, Structured) (XS0332142511)
UBS (London Branch), 7.46% 31jan2029, USD (Structured) (US90281C1797)
UBS (London Branch), 7.15% 1may2024, USD (Structured) (US90281C7810)
UBS (London Branch), 9.15% 4aug2021, USD (Structured) (US90281D7553)
UBS (London Branch), FRN 25mar2025, USD (Structured) (US90270K5A37)
UBS (London Branch), FRN 30apr2024, USD (Structured) (US90270KYZ64)
UBS (London Branch), 0% 28jun2024, USD (3651D, Structured) (US90272X7378)
UBS (London Branch), 9.5% 24apr2025, USD (Structured) (US90276BBR33)
UBS (London Branch), 7% 25oct2022, USD (Structured) (US90280X4979)
UBS (London Branch), 12% 4feb2021, USD (Structured) (US90281A6780)
UBS (London Branch), 15.25% 9dec2022, USD (Structured) (US90281F5118)
UBS (London Branch), 15.65% 23dec2022, USD (Structured) (US90281F7684)
UBS (London Branch), FRN 30dec2022, USD (Structured) (US90281F8344)
UBS (London Branch), 7.5% 28may2025, USD (Structured) (US90281J7862)
UBS (London Branch), FRN 27jul2023, USD (Structured) (US90281K6358)
UBS (London Branch), FRN 24aug2023, USD (Structured) (US90281M1449)
UBS (London Branch), 8.96% 18mar2021, USD (Structured) (US90286U2327)
Credit Suisse, 1.25% 8jan2030, EUR (SPLB2019-1ABP) (FR0013451887)
Nestle S.A., 0.375% 3dec2040, EUR (106) (XS2263684933)
Zurich Cantonal Bank, 0% 12apr2021, GBP (123D) (CH0570576469)
Leonteq Securities (Guernsey Branch), FRN 28jun2023, USD (Structured) (CH0584956095)
Credit Suisse (London Branch), 0% 18dec2023, EUR (1089D, Structured) (XS2270242592)
Credit Suisse (London Branch), FRN 31jul2025, USD (Structured) (US22548F4303)
Credit Suisse (London Branch), 16% 29jan2021, USD (Structured) (US22549J2R09)
UBS, 0% 4aug2021, USD (911D, Structured) (US22549Y5454)
UBS, 0% 29nov2024, USD (1827D, Structured) (US22550K5746)
UBS, 0% 28feb2022, USD (731D, Structured) (US22550V1171)
UBS, 15.35% 17feb2023, USD (Structured) (US22550V1668)
Credit Suisse (London Branch), 8.05% 15mar2022, USD (Structured) (US22548QXH37)
Credit Suisse (Bahamas) Limited, 0% 31jan2022, USD (1645D, Structured) (US22550BCC54)
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