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Список корпоративних облігацій

HSBC, 0% 13dec2030, GBP (0002, 2191D) (GB00BSKWS417)
Standard Chartered Bank, 0% 5feb2035, USD (NCW, 3652D) (XS2989306175)
HSBC, 0% 24jan2031, GBP (2191D, Structured) (GB00BT33F701)
Morgan Stanley International PLC, 0% 14feb2031, GBP (2191D, Structured) (GB00BQRRJR51)
Barclays Bank PLC, 0% 29oct2030, SEK (2212D) (SE0022726667)
Standard Chartered Bank, 0% 18feb2028, USD (NCW, 1095D) (XS3004013846)
Goldman Sachs International, 0% 23jun2026, CHF (1826D, Structured) (XS2335283078)
Goldman Sachs International, 0% 29jul2026, SEK (1899D, Structured) (SE0014959359)
Goldman Sachs International, 25.3% 21feb2025, USD (Structured) (XS2449826200)
Barclays Bank PLC, FRN 18feb2028, USD (Structured) (XS2953128746)
Barclays Bank PLC, 0% 16may2030, SEK (2214D) (SE0021628724)
Goldman Sachs International, 0% 14apr2026, SEK (1859D) (SE0014959607)
Barclays Bank PLC, 0% 17may2029, GBP (2191D, Structured) (XS2485387836)
Goldman Sachs International, 0% 17dec2025, SEK (2277D) (SE0013233608)
Goldman Sachs International, 0% 16jan2030, SEK (2997D) (SE0016277776)
Goldman Sachs International, 0% 27jul2026, SEK (1900D) (SE0014959417)
Standard Chartered Bank, 0% 24feb2028, USD (NCW, 1095D) (XS3008527858)
Barclays Bank PLC, 5.7% 21feb2035, USD (452264) (XS2959151965)
Barclays, 5.086% 25feb2029, USD (US06738ECX13)
Goldman Sachs International, 0% 26sep2025, SEK (2307D, Structured) (SE0010949180)
Standard Chartered Bank, 0% 13mar2030, AUD (NCW, 1826D) (XS3023508339)
Goldman Sachs International, 0% 14apr2026, SEK (1826D, Structured) (SE0014959862)
Goldman Sachs International, 0% 8mar2027, SEK (1826D, Structured) (SE0016277552)
Goldman Sachs International, 0% 8mar2027, SEK (1826D, Structured) (SE0016277479)
Goldman Sachs International, 0% 19may2027, SEK (1827D, Structured) (SE0017483969)
Goldman Sachs International, 0% 27sep2027, SEK (1826D, Structured) (SE0017484413)
Barclays Bank PLC, FRN 25jan2027, USD (Structured) (XS2929001043)
Natwest Markets plc, 4.789% 21mar2028, USD (USG6382RGD47)
Barclays Bank PLC, FRN 5jul2034, EUR (Structured) (XS2734983625)
Morgan Stanley International PLC, 4.75% 31jul2029, EUR (Structured) (XS2565060410)
Morgan Stanley International PLC, 0% 20nov2029, EUR (1833D, Structured) (FRIP000011O7)
RELX Plc, 4.75% 27mar2030, USD (US74949LAF94)
RBS, 2013-6, RUB
Next, 4.375% 2oct2026, GBP (XS0975833319)
British American Tobacco, 7.25% 12mar2024, GBP (XS0352062995)
Bank of Scotland, 3.875% 7feb2020, EUR (XS0212074388)
Barclays, 7.4% 7nov2013, GBP (XS0391029781)
Barclays, 6% 23may2016, GBP (Structured) (XS0487650680)
Barclays Bank PLC, 2.75% 23feb2015, USD (US06741JS261)
Barclays Bank PLC, 6.24% 30dec2016, GBP (XS0688421071)
Barclays Bank UK, 4.25% 2mar2022, EUR (XS0491009659)
Barclays, FRN 29mar2016, EUR (XS0586082892)
Barclays Bank PLC, 0% 16apr2014, EUR (1826D) (XS0423886026)
Barclays, 0% 20jan2014, GBP (1567D) (XS0451575806)
Barclays, 0% 20oct2014, GBP (1826D) (XS0456392157)
Barclays, 0% 22feb2016, GBP (2265D) (XS0462844704)
Barclays Bank PLC, 0% 23apr2015, GBP (1826D) (XS0502923559)
Barclays Bank PLC, 0% 4mar2015, EUR (1673D) (XS0511210071)
Barclays, 0% 1aug2016, GBP (2268D) (XS0506311330)
Barclays, 0% 28nov2016, GBP (2275D) (XS0532779930)
Barclays, 0% 10jun2019, GBP (3682D) (XS0425913190)
Barclays, 0% 28jan2038, USD (10955D, Structured) (US06739H4121)
Barclays, 0% 7aug2014, GBP (1826D) (XS0430215599)
BG Energy Holdings, 6.5% 30nov2072, EUR (XS0796069283)
Coventry Building Society, 2.25% 4dec2017, EUR (XS0860567477)
Derby Healthcare, 5.564% 30jun2041, GBP (XS0176192689)
Diageo, 4.828% 15jul2020, USD (US25243YAP43)
Endeavour SCH, FRN 28mar2031, GBP (XS0100635316)
Ei Group, 6.875%15feb2021, GBP (XS0124512533)
Granite Master Issuer, FRN 20dec2054, USD (2006-2, class A4) (US38741YBR99)
Granite Master Issuer, FRN 25dec2054, GBP (ABS) (XS0240603067)
Great Hall Mortgages, FRN 18mar2039, GBP (2007-01, ABS, Ba) (XS0288628224)
Great Places Housing Group, 4.75% 22oct2042, GBP (XS0842152281)
Hammerson, 2.75% 26sep2019, EUR (XS0834382151)
Holmes Master Issuer, FRN 15oct2054, EUR (ABS) (XS0736398834)
Housing Association Funding, 8.25% 7jun2027, GBP (ABS) (XS0073407537)
HSBC, 3.75% 30nov2016, EUR (XS0470370932)
HSBC, 0% 16may2016, USD (1103D) (XS0932273286)
HSBC, 0% 27may2016, USD (1102D) (XS0936731743)
HSBC, 0% 16mar2015, EUR (1095D) (XS0755884375)
HSBC, 0% 4may2015, USD (1099D) (XS0779350379)
HSBC Holdings plc, 5.1% 5apr2021, USD (US404280AK50)
HSBC Holdings plc, 3.375% 10jan2024, EUR (XS0969636371)
Imperial Brands, 8.375% 17feb2016, EUR (XS0413494500)
Imperial Brands, 6.25% 4dec2018, GBP (XS0180407602)
Imperial Brands, 3.5% 11feb2023, USD (USG4721VBL74)
Imperial Brands, 8.125% 15mar2024, GBP (XS0387847576)
Inmarsat, 1.75% 16nov2017, USD (XS0331843523)
International Personal Finance Plc, 11.5% 6aug2015, EUR (XS0531331345)
International Personal Finance Plc, 6.125% 8may2020, GBP (XS0919406800)
ITV, 5.375% 19oct2015, GBP (XS0232037233)
Lloyds Bank, 7.875% 1nov2020, USD (XS0459093521)
Lloyds Banking Group, 11.25% 14sep2023, GBP (XS0459092390)
Lloyds Banking Group, 15% 21dec2019, GBP (XS0459089255)
Leek Finance No. 17, FRN 21dec2037, EUR (ABS, A2c) (XS0249475723)
Leek Finance No. 18, FRN 21sep2038, GBP (ABS) (XS0271276908)
John Lewis, 8.375% 8apr2019, GBP (XS0421003665)
Lloyds Bank, 7.375% 1jun2020, GBP (XS0513760214)
Lloyds Bank, 6.9625% 29may2020, GBP (XS0366686284)
Next, 5.375% 26oct2021, GBP (XS0630204351)
Northern Gas Networks, 4.875% 30jun2027, GBP (XS0234964459)
Paragon Mortgages (No.12), FRN 15nov2038, GBP (ABS, B1a) (XS0261647886)
Preferred Residential Securities 8, FRN 15dec2042, EUR (XS0198319906)
Rio Tinto, 2% 11may2020, EUR (XS0863129135)
NatWest Group, 2.55% 18sep2015, USD (US780099CC94)
RBS, FRN 18jun2014, GBP (XS0424722634)
RBS, 0% 10oct2016, GBP (2014D) (XS0570415793)
RBS, 0% 22feb2019, GBP (2184D) (XS0784353053)
Natwest Markets plc, 6.625% 17sep2018, GBP (XS0388021270)
RBS, FRN 9jun2025, EUR (XS0219990248)
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