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Список корпоративних облігацій

Standard Chartered Bank, 0% 5nov2029, USD (NCW, 1826D) (XS2932759124)
HSBC, 0% 7oct2030, GBP (2, 2191D) (GB00BSKWR336)
HSBC, 0% 18oct2030, GBP (5, 2191D) (GB00BSKWR666)
HSBC, 0% 25oct2030, GBP (2191D) (GB00BSKWRB16)
HSBC, 0% 25oct2030, GBP (2191D) (GB00BSKWRC23)
Nomura Bank International, FRN 16dec2039, USD (Structured) (XS2188775832)
Standard Chartered Bank, 0% 12nov2029, USD (NCW, 1826D) (XS2937128168)
Barclays Bank PLC, 0.47% 30oct2025, JPY (XS2922709097)
HSBC, 0% 8nov2027, USD (1095D, Structured) (XS2931835032)
Standard Chartered Bank, 0% 19nov2029, USD (NCW, 1826D) (XS2942360152)
Morgan Stanley International PLC, 0% 18sep2029, EUR (Structured) (FRIP00000UZ6)
Barclays Bank PLC, 0% 11dec2029, GBP (2192D) (XS2637281739)
Standard Chartered Bank, 0% 26nov2027, USD (NCW, 1095D) (XS2947888835)
Barclays Bank PLC, 2.19% 5sep2025, USD (Structured) (XS2828128517)
Morgan Stanley International PLC, 0% 6sep2034, EUR (3675D) (FRIP00000TD5)
Standard Chartered Bank, 0% 4dec2026, USD (NCW, 730D) (XS2953550188)
Standard Chartered Bank, 0% 6dec2029, USD (NCW, 1826D) (XS2954803271)
Goldman Sachs International, 0% 19may2027, SEK (1905D) (SE0017483977)
Goldman Sachs International, 0% 27jul2026, SEK (1897D) (SE0014959367)
Barclays Bank PLC, 0% 6oct2033, EUR (3653D, Structured) (XS2593724292)
HSBC, 2.81% 19dec2029, CNY (XS2959411898)
Standard Chartered Bank, 0% 29may2038, USD (9131D) (XS0935434083)
Barclays, FRN 25jul2029, EUR (Structured) (XS2808986512)
Marex Financial, 0% 9aug2025, USD (1276D, Structured) (XS2329156686)
Marex Financial, 5.76% 12jul2027, EUR (Structured) (XS2375169583)
Natwest Markets plc, 3.125% 10jan2030, EUR (125) (XS2975316899)
EBRD, FRN 22jul2030, USD (US29875BAM81)
Morgan Stanley International PLC, 0% 13dec2030, GBP (0002, 2191D) (GB00BQRRJ423)
HSBC, 0% 6dec2030, GBP (2191D, Structured) (GB00BSKWRY43)
HSBC, 0% 28jan2031, GBP (2191D, Structured) (GB00BT33F032)
HSBC, 0% 8jan2031, GBP (2191D, Structured) (GB00BSKWS854)
Marex Financial, 4.25% 12feb2026, USD (Structured) (XS2845251243)
Standard Chartered Bank, 0% 18feb2030, HKD (NCW, 1826D) (XS3004013929)
Goldman Sachs International, 0% 24jan2028, SEK (1908D) (SE0018014391)
Standard Chartered Bank, 0% 20feb2030, USD (NCW, 1826D) (XS3006149572)
Goldman Sachs International, 0% 14apr2026, SEK (1911D) (SE0014959854)
Standard Chartered Bank, 5.47% 20feb2035, USD (NCW) (XS3008546486)
Standard Chartered Bank, 0% 25feb2030, USD (NCW, 1826D) (XS3008527775)
Barclays, 5.785% 25feb2036, USD (US06738ECZ60)
Barclays Bank PLC, FRN 22dec2031, USD (Structured) (XS2707606781)
Morgan Stanley International PLC, 0% 20jan2027, EUR (1826D, Structured) (XS2386172949)
Barclays Bank PLC, FRN 14mar2035, EUR (Structured) (XS2912622797)
Goldman Sachs International, 0% 16dec2026, SEK (1826D, Structured) (SE0016277180)
Goldman Sachs International, 0% 8mar2027, SEK (1826D, Structured) (SE0016277453)
Goldman Sachs International, 0% 1apr2027, SEK (1828D, Structured) (SE0017483985)
Goldman Sachs International, 0% 15apr2027, SEK (1829D, Structured) (SE0016277602)
Goldman Sachs International, 0% 19may2027, SEK (1827D, Structured) (SE0017484041)
Goldman Sachs International, 0% 15jun2027, SEK (1825D, Structured) (SE0017484298)
Goldman Sachs International, 0% 17dec2029, SEK (2923D, Structured) (SE0016277743)
Barclays Bank PLC, 0% 27feb2030, SEK (2192D, Structured) (SE0021183076)
Goldman Sachs International, 0% 16jan2032, SEK (3655D, Structured) (SE0016277719)
Morgan Stanley International PLC, 0% 25feb2032, GBP (2556D, Structured) (GB00BQRRK165)
Bunzl, 5.75% 18mar2036, GBP (XS3022685500)
Santander UK, FRN 24mar2027, EUR (XS3032006143)
Natwest Markets plc, FRN 21mar2028, USD (USG6382RGE20)
Morgan Stanley International PLC, 0% 26nov2029, EUR (1833D, Structured) (FRIP00001258)
Standard Chartered Bank, 0% 28mar2030, USD (NCW, 1826D) (XS3037604744)
RBS, 2012-27, RUB (XS0598162500)
RBS, 2012-21, RUB (XS0563995850)
Standard Chartered Bank Korea, 7.267% 3mar2034, USD (USY48764AH01)
Barclays Bank PLC, 11.55% 20sep2015, RUB (XS0628146838)
RBS, 0% 13jun2012, RUB (176D)
Aviva, 6.625% 3jun2041, GBP (XS0631092581)
Aviva, 6.125% 5jul2043, EUR (XS0951553592)
British American Tobacco, 2.75% 25mar2025, EUR (XS0909359332)
BAE Systems, 4.125% 8jun2022, GBP (XS0789683462)
Bank of Scotland, 4.625%8jun2017, EUR (XS0304458721)
Barclays Bank PLC, 4.2% 21apr2016, EUR (6195) (XS0251151394)
Barclays, 9% 27nov2013, EUR (XS0401026470)
Barclays Bank PLC, 6.05% 4dec2017, USD (XS0334249223)
Barclays, FRN 21jul2014, EUR (XS0602991704)
Barclays Bank PLC, FRN 1sep2016, GBP (XS0628122060)
Barclays Bank PLC, FRN 6jun2017, GBP (Structured) (XS0614645066)
Barclays, 0% 1sep2015, GBP (1905D) (XS0513752112)
Barclays, 0% 4jun2015, EUR (1833D) (XS0498746931)
Barclays Bank PLC, 0% 16oct2014, GBP (1826D) (XS0455428317)
BP PLC, 5.25% 7nov2013, USD (US05565QBF46)
BP PLC, 4.75% 10mar2019, USD (US05565QBJ67)
BP PLC, 2.517% 17feb2021, EUR (XS0972165681)
Centrica, 6.375% 10mar2022, GBP (XS0416397338)
Chester Asset Receivables Dealings, FRN 15apr2016, GBP (ABS) (XS0188612245)
Exchequer Partnership, 5.396% 13jul2036, GBP (XS0161353999)
Firstgroup, 8.75% 8apr2021, GBP (XS0422620566)
GSK PLC, 6.375% 9mar2039, GBP (XS0350820931)
GSK PLC, 4.2% 18mar2043, USD (US377372AJ68)
Granite Master Issuer, FRN 19dec2054, EUR (ABS) (XS0268037131)
Granite Master Issuer, FRN 25dec2054, EUR (ABS) (XS0240602929)
HBOS, FRN 29mar2016, EUR (XS0249026682)
Holmes Master Issuer, FRN 15oct2054, USD (ABS) (US43641NBH61)
Holmes Master Issuer, FRN 15oct2054, USD (ABS) (XS0736397604)
HSBC, 2% 19jan2014, USD (USG4639DWB74)
HSBC, 4.125% 12aug2020, USD (USG4639DVV48)
HSBC, 5% 20mar2023, GBP (XS0164876517)
HSBC, 0% 19feb2014, USD (1093D) (XS0596569029)
HSBC, 0% 10aug2015, USD (1103D) (XS0814697099)
HSBC, 0% 20feb2015, USD (1102D) (XS0747758968)
HSBC, 0% 15jun2015, USD (1098D) (XS0793504431)
HSBC, 0% 15jun2015, USD (1098D) (XS0793504944)
HSBC Holdings plc, FRN 29jun2020, EUR (XS0222053315)
Imperial Brands, 2.05% 11feb2018, USD (USG4721VBK91)
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