Venerdì, Maggio 17, 2024 - 11:42

Obbligazioni bancarie (EUR)

ISIN
Descrizione
Scadenza
Valuta
Tipo Cedola
Info Cedola
Cedola %
Rend. Acquisto
No. proposte (in acquisto)
Q.tà Acquisto
Prezzo Acquisto
Prezzo Vendita
Q.tà Vendita
No. proposte (in vendita)
Rend. Vendita
Var %
Scheda
XS2558395351ENBW FIN GREN 3,625% 22/11/26CAL22/11/2026EURFixed rate1Y3,633,831150.00099,5101,250.00013,114
XS1750986744ENEL FIN GREN 1,125% 16/9/26 CAL16/09/2026EURFixed rate1Y1,133,8881100.00093,9795,22100.00013,295
XS2066706909ENEL FIN SUST 0,375% 17/6/27 CAL17/06/2027EURFixed rate1Y0,383,9121100.00089,9491,67100.00013,267
XS2066706735ENEL FIN SUST 1,125% 17/10/34CAL17/10/2034EURFixed rate1Y1,133,8771100.00076,7978,35100.00013,664
XS2531420656ENEL FIN SUST 3,875% 9/3/29 CALL09/03/2029EURFixed rate1Y3,883,6621100.000100,91101,28100.00013,578
XS2066706818ENEL FIN. SUST 0% 17/06/24 CALL17/06/2024EURFixed rate1Y7,3601100.00099,46100100.0001
XS2398807383FINECOBANK TM 21/10/27 CALL21/10/2027EURMixed Rate1Y0,502,9131100.00092,2692,83100.00012,726
XS2590759986FINECOBANK TM 23/02/29 CALL23/02/2029EURMixed Rate1Y4,634,1651100.000101,99102,71100.00013,998
XS1941841311GENERALI 3,875% 29/01/2029 SUB29/01/2029EURFixed rate1Y3,883,9231100.00099,78100,49100.00013,756
XS1062900912GENERALI 4,125% SUB 04/05/202604/05/2026EURFixed rate1Y4,133,8581100.000100,49101,35100.00013,398
XS0452314536GENERALI 5,125% 16/09/202416/09/2024EURFixed rate1Y5,134,4071100.000100,18100,62100.00013,077
XS2056491587GENERALI GREEN 2,124% 1/10/30SUB01/10/2030EURFixed rate1Y2,124,2231100.00088,4990,05100.00013,919
XS2468223107GENERALI GREN 5,8% 6/7/32 SUBCAL06/07/2032EURFixed rate1Y5,804,6431200.000107,67110200.00014,313
XS2201857534GENERALI GRN 2,429%14/7/31SUBCAL14/07/2031EURFixed rate1Y2,434,4261100.00087,9889,8100.00014,103
XS2678749990GENERALI SUS 5,27% 12/9/33SUBCAL12/09/2033EURFixed rate1Y5,274,6261200.000104,77107,48200.00014,278
XS1311440082GENERALI TM SUB CALL 27/10/4727/10/2027EURMixed Rate1Y5,504,3031100.000103,72104,36100.00014,104
XS1428773763GENERALI TM SUB CALL 8/6/4808/06/2048EURMixed Rate1Y5,004,9051100.000102,26103,8100.00014,796
XS2609970848GENERALIGREN 5,399%20/4/33SUBCAL20/04/2033EURFixed rate1Y5,404,5221200.000106,31108,05200.00014,292
XS2043678841GOLDMAN SACHS 0,125% 19/08/202419/08/2024EURFixed rate1Y0,135,0611100.00098,899,79100.00010,980
XS1796209010GOLDMAN SACHS 2% 22/03/202822/03/2028EURFixed rate1Y2,004,0001100.00093,0195,5100.00013,266
XS1116263325GOLDMAN SACHS 2,125% 30/09/202430/09/2024EURFixed rate1Y2,135,5571100.00098,7699,99100.00012,124
XS1074144871GOLDMAN SACHS 2,875% 03/06/202603/06/2026EURFixed rate1Y2,883,5471100.00098,799,67100.00013,044
XS2084827935ICCREA 4,125% 28/11/29 SUB CALL28/11/2029EURMixed Rate1Y4,134,3031100.00099,1299,58100.00014,207
XS2407593222ICCREA BANCA 2,125% 17/1/27 CALL17/01/2027EURMixed Rate1Y2,133,2271100.00097,2597,8100.00013,004
IT0005447039ICCREA BANCA S/UP 01/07/202601/07/2026EURMixed Rate6M1,603,661120.00096,797,110.00013,459
IT0005518698ICCREA BANCA S/UP 28/11/202728/11/2027EURMixed Rate6M4,634,725120.000103103,920.00014,453
IT0005565491ICCREA BANCA S/UP 29/09/2829/09/2028EURMixed Rate6M4,754,686120.000102,41103,1920.00014,491
IT0005479040ICCREA BANCA S/UP 30/12/202630/12/2026EURMixed Rate6M2,004,136120.00095,2396,2950.00023,693
XS2758880798ICCREA BANCA SOC. TM 5/2/30 CALL05/02/2030EURMixed Rate1Y4,254,2451100.000100,06101,19100.00014,019
XS2491620865ICCREA BANCA TM 15/03/2027 CALL15/03/2027EURMixed Rate6M4,50
IT0005143653ICCREA BANCA TM 16/11/202516/11/2025EURMixed Rate6M5,104,910150.000100,27103,5850.00012,665
XS2577533875ICCREA BANCA TM 20/01/2028 CALL20/01/2028EURMixed Rate1Y6,884,7992200.000106,9107,74100.00014,555
XS2443527234ICCREA BANCA TM 20/09/27 CALL20/09/2027EURMixed Rate1Y6,384,7551100.000104,95105,14200.00014,694
XS2239094936ICCREA BANCA TM 20/10/2025 CALL20/10/2025EURMixed Rate1Y2,252,8451200.00099,299,9100.00012,331
XS2397352662ICCREA TM 18/01/2032 SUB CALL18/01/2027EURMixed Rate1Y4,754,9461100.00098,7599,25100.00014,866
XS2564398753ILLIMITY BANK 6,625% 9/12/202509/12/2025EURFixed rate1Y6,634,9871100.000102,35102,65100.00014,787
XS2361258317ILLIMITY BANK TM 7/10/31 SUB CAL07/10/2031EURMixed Rate1Y4,3895,49100.00015,093
IT0000966017INTESA S. PAOLO ZC 08/01/202708/01/2027EURZero Coupon-4,2001100.00089,7391,45100.00013,452
XS2317069685INTESA S.P. GREEN 0,75% 16/03/2816/03/2028EURFixed rate1Y0,753,6541100.00089,8289,98100.00013,605
XS2026295126INTESA S.P. TM 12/07/29 SUB CALL12/07/2029EURMixed Rate1Y4,384,4081100.00099,84100,3100.00014,306
XS2589361240INTESA S.P. TM 20/02/34 SUB CALL20/02/2034EURMixed Rate1Y6,185,4381200.000105,5106,24200.00015,342
XS2022425297INTESA S.PAOLO 1,00% 04/07/202404/07/2024EURFixed rate1Y1,004,0571100.00099,6399,7100.00013,475
XS1109765005INTESA S.PAOLO 3,928% 15/9/26SUB15/09/2026EURFixed rate1Y3,933,9851100.00099,86100,24100.00013,811
XS2081018629INTESA SANPAOLO 1,00% 19/11/2619/11/2026EURFixed rate1Y1,003,7561100.00093,5493,7100.00013,685
XS2067213913INTESA SANPAOLO 1,625% 21/04/2521/04/2025EURFixed rate1Y1,634,0151250.00097,8898,45250.00013,362
XS2022424993INTESA SANPAOLO 1,75% 04/07/2904/07/2029EURFixed rate1Y1,753,6821100.00091,1391,35100.00013,631
XS1785340172INTESA SANPAOLO 1,75% 20/03/2820/03/2028EURFixed rate1Y1,753,6431100.00093,3493,47100.00013,605
XS2179037697INTESA SANPAOLO 2,125% 26/05/2526/05/2025EURFixed rate1Y2,133,7941100.00098,3798,48100.00013,680
XS2673808486INTESA SANPAOLO 4,375% 29/08/2729/08/2027EURFixed rate1Y4,383,6901100.000102,06102,23100.00013,635
XS2673808726INTESA SANPAOLO 5,125% 29/08/3129/08/2031EURFixed rate1Y5,133,8661100.000107,83108,16100.00013,816