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Список корпоративних облігацій

Goldman Sachs International, FRN 6jul2026, EUR (Structured) (XS2334790800)
Goldman Sachs International, FRN 5jul2024, RUB (Structured) (XS2334790396)
HSBC, FRN 12feb2025, USD (Structured) (XS2440686348)
Goldman Sachs International, FRN 20jul2026, USD (Structured) (XS2335984451)
Barclays Bank PLC, FRN 3feb2025, EUR (Structured) (XS2341874654)
Marex Financial, FRN 24aug2023, USD (Structured) (XS2329165166)
Goldman Sachs International, FRN 24feb2025, USD (Structured) (XS2403786044)
Marex Financial, FRN 21aug2023, USD (Structured) (XS2290800320)
HSBC, 0% 17nov2023, USD (729D) (XS2406919493)
Credit Suisse International, 7.08% 6jul2022, HKD (ECP, Structured) (XS2347539160)
Standard Chartered Bank, FRN 25mar2025, USD (XS2459049594)
Standard Chartered Bank, FRN 31mar2025, USD (XS2461462173)
Kentmere No.2, FRN 28jan2042, GBP (2A, ABS, A)
Morgan Stanley International PLC, FRN 24mar2029, AUD (K304) (XS2175207625)
Marex Financial, FRN 21oct2026, USD (Structured) (XS2301639873)
HSBC, FRN 20oct2022, EUR (Structured) (XS2397812095)
Barclays Bank PLC, FRN 19jul2024, USD (Structured) (XS1984751146)
Goldman Sachs International, FRN 24feb2027, USD (Structured) (XS2423235485)
Goldman Sachs International, 0% 25feb2027, USD (1823D, Structured) (XS2423236962)
Standard Chartered Bank, FRN 8apr2025, USD (XS2463919048)
Linde plc, 1.375% 31mar2031, EUR (7) (XS2463961248)
Linde plc, 1% 31mar2027, EUR (6) (XS2463961321)
Marex Financial, 0% 27oct2022, GBP (280D, ECP) (XS2329250273)
EBRD, 9% 8apr2024, USD (XS2466074866)
ICBC Standard Bank, 10% 3apr2023, USD (XS2464787758)
EBRD, 0% 7apr2061, EUR (14245D) (XS2466051146)
Dowson 2022-1, FRN 20jan2029, GBP (ABS, A) (XS2458357527)
Goldman Sachs International, FRN 26nov2027, RUB (Structured) (XS2213722981)
Marex Financial, 1% 6mar2023, USD (Structured) (XS2328460972)
Marex Financial, 1.292% 9may2023, RUB (Structured) (XS2253413467)
Marex Financial, 13% 4aug2023, RUB (Structured) (XS2290780209)
Goldman Sachs International, FRN 12may2025, EUR (XS2466496341)
Standard Chartered Bank, 3.7% 12may2025, USD (13575) (XS2479346004)
Nationwide Building Society, 2.25% 16may2038, EUR (01) (XS2480519656)
HSBC, 0% 20jul2022, USD (379D) (XS2362901311)
Goldman Sachs International, FRN 30dec2025, RUB (Structured) (XS2230911484)
Marex Financial, FRN 11aug2023, USD (Structured) (XS2101126774)
HSBC, 0.01% 12feb2024, USD (Structured) (XS1946756662)
HSBC, 0.01% 5jul2022, USD (Structured) (XS2019303671)
Goldman Sachs International, 0% 27may2032, EUR (3713D, Structured) (FR00140091T0)
Barclays Bank PLC, 10.6% 22nov2022, USD (Structured) (XS2033423810)
Barclays Bank PLC, 5.24% 21nov2022, EUR (Structured) (XS2033439733)
Barclays Bank PLC, FRN 14nov2022, RUB (Structured) (XS2033452678)
Barclays Bank PLC, 0% 19jul2022, EUR (1096D, Structured) (XS1984723525)
Goldman Sachs International, 0% 31jan2028, EUR (2201D, Structured) (FI4000514138)
Standard Chartered Bank (Hong Kong), FRN 2jun2025, HKD (XS2484989608)
EBRD, 30% 1sep2023, TRY (XS2481498769)
Standard Chartered Bank, FRN 9jun2025, HKD (XS2486900389)
Standard Chartered Bank, 4.21% 1jun2029, USD (13616) (XS2487644812)
Standard Chartered Bank, FRN 10jun2025, USD (XS2488263042)
National Grid, 2.179% 30jun2026, EUR (97) (XS2486461010)
National Grid, 3.245% 30mar2034, EUR (99) (XS2486461523)
Standard Chartered Bank, FRN 10jun2025, USD (XS2488108072)
ICBC Standard Bank, 17% 11may2025, MZN (CLN 1941) (XS2482758047)
Goldman Sachs International, 0% 21aug2023, USD (1103D, Structured) (XS2197258846)
EBRD, 6.75% 10jun2025, HUF (XS2488134581)
Marex Financial, 0% 10jun2024, RUB (1084D, Structured) (XS2275820228)
Barclays Bank PLC, FRN 23jul2024, USD (MTN6, Structured) (XS2290755862)
HSBC, 0% 10dec2024, USD (0005, Structured) (XS2416962194)
Standard Chartered Bank, 3.5% 13jun2025, HKD (216) (HK0000855673)
Standard Chartered Bank, 4.9% 22jun2027, USD (XS2493710763)
Standard Chartered Bank, FRN 7jul2025, USD (XS2496080412)
EBRD, 8% 24jun2024, PLN (XS2495593001)
Standard Chartered Bank, 4.7% 5jul2025, AUD (XS2498441281)
Co-Operative Bank Finance, 5.5555% perp., GBP (GB00B3VMBW45)
Barclays Bank PLC, 3.6% 26jul2024, CNY (XS2377879783)
Standard Chartered Bank, 2.13% 15jan2026, EUR (XS2504513859)
Standard Chartered Bank, 4.2% 21jul2025, USD (13698) (XS2505172119)
HSBC, FRN 2dec2022, RUB (Structured) (XS2091675905)
Barclays Bank PLC, FRN 16dec2024, USD (Structured) (XS2047399196)
Barclays Bank PLC, FRN 27dec2022, USD (Structured) (XS2047440099)
EBRD, 0% 24jan2028, ZAR (2938D) (XS2102308231)
Barclays Bank PLC, FRN 9jan2023, USD (Structured) (XS2047455014)
Credit Suisse International, 0% 27dec2021, RUB (714D) (XS2087588021)
Standard Chartered Bank, 10.4% 21jan2025, USD (XS2105119031)
Barclays Bank PLC, FRN 16jan2025, USD (Structured) (XS2054862912)
Barclays Bank PLC, FRN 24jan2025, EUR (Structured) (XS2054877944)
EBRD, 1.38% 4feb2022, VND (XS2110244295)
Barclays Bank PLC, FRN 28jan2025, USD (Structured) (XS2054934927)
Marex Financial, 0% 14may2020, USD (175D) (XS2033118774)
Marex Financial, 0% 13jul2020, USD (182D) (XS2033127254)
Barclays Bank PLC, FRN 6feb2023, USD (Structured) (XS2054934687)
ICBC Standard Bank, 8% 14feb2022, USD (XS2116707543)
Barclays Bank PLC, FRN 13feb2023, USD (Structured) (XS2064062321)
HSBC, FRN 27jan2023, RUB (Structured) (XS2113171248)
EBRD, FRN 25mar2023, GEL (GE8790603772)
Natwest Markets plc, 0% 3jan2025, EUR (1827D) (XS2097678481)
Credit Suisse International, 0% 17feb2025, USD (1824D) (XS2102167157)
Barclays Bank PLC, FRN 21feb2023, USD (Structured) (XS2073335817)
Barclays Bank PLC, FRN 28feb2023, USD (Structured) (XS2073395043)
Barclays Bank PLC, FRN 6mar2023, USD (Structured) (XS2073407152)
Barclays Bank PLC, FRN 4mar2021, USD (Structured) (XS2073364080)
Barclays Bank PLC, FRN 3mar2023, USD (Structured) (XS2073363512)
Goldman Sachs International, FRN 30jan2024, EUR (Structured) (XS1917240548)
EBRD, 10.2% 12feb2026, USD (XS2126043640)
Barclays Bank PLC, FRN 6mar2025, EUR (Structured) (XS2073397684)
Barclays Bank PLC, FRN 13mar2023, EUR (Structured) (XS2076018881)
BCHR, FRN 13aug2024, USD (GB00BK5SNJ86)
Omni P, FRN 6mar2025, GBP (GB00BD0XNM27)
SOF EPC, 12.3% 25apr2023, USD (GB00BJQTRN53)
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