Lunedì, Maggio 20, 2024 - 10:42

Obbligazioni Bancarie Branded con LP

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
IT0005534943BCA POP SONDRIO 4,75% 31/03/202731/03/2027EURFixed rate6M4,754,413115.000100,9101,9838.00014,011
IT0005541872BCA POP SONDRIO 5,00% 28/04/202828/04/2028EURFixed rate6M5,004,371118.000102,25
IT0005545634BANCA SELLA 5,00% 13/06/2913/06/2029EURFixed rate6M5,004,064150.000104,24104,8450.00013,935
IT0005542524BANCA SELLA 5,00% 16/05/2816/05/2028EURFixed rate6M5,003,962150.000103,79104,1950.00013,855
IT0005532921B SELLA GREEN BOND 5,10% 21/3/2821/03/2028EURFixed rate6M5,103,977150.000103,95104,3550.00013,866
IT0005518672BCA POP SONDRIO 5,25% 31/01/202831/01/2028EURFixed rate6M5,254,360116.000103103,7941.00024,131
IT0005529737BCA POP SONDRIO 5,25% 08/02/202808/02/2028EURFixed rate6M5,254,431115.000102,77103,6914.00014,165
IT0005581266VOLKSBANK TV 05/09/202805/09/2028EURMixed Rate3M5,295,463150.00099,32
IT0005503831BCA POP. SONDRIO TV 22/8/202722/08/2027EURMixed Rate6M5,494,6701100.000102,4410310.00014,486
IT0005513152BCA POP SONDRIO 5,50% 28/10/202728/10/2027EURFixed rate6M5,504,415116.000103,421045.00014,235