Vorvel - Ricerca
| Vorvel Bonds | Obbligazioni senza LP | IT0005614992 | CC RAIFFEISEN G.B 2,75% 30/10/28 | 30/10/2028 | EUR | Fixed rate | Fixed rate | 1Y | 2,75 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005489551 | CC RAIFFEISEN GREEN S/UP 20/4/28 | 20/04/2028 | EUR | Mixed Rate | Mixed Rate | 1Y | 1,60 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005458713 | CC RAIFFEISEN S/UP 15/10/26 SUST | 15/10/2026 | EUR | Mixed Rate | Mixed Rate | 1Y | 1,00 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005450629 | CC VALD FIORENTINO 1,25% 15/7/26 | 15/07/2026 | EUR | Fixed rate | Fixed rate | 6M | 1,25 |
| Vorvel Bonds | Titoli di stato IT | IT0005428617 | CCTEU 15 AP 26 | 15/04/2026 | EUR | Floating rate | Floating rate | 6M | 2,60 |
| Vorvel RFQ | Titoli di stato IT | IT0005428617 | CCTEU 15 AP 26 | 15/04/2026 | EUR | Floating rate | Floating rate | 6M | 2,60 |
| Vorvel Bonds | Titoli di stato IT | IT0005451361 | CCTEU 15 AP 29 | 15/04/2029 | EUR | Floating rate | Floating rate | 6M | 2,75 |
| Vorvel RFQ | Titoli di stato IT | IT0005451361 | CCTEU 15 AP 29 | 15/04/2029 | EUR | Floating rate | Floating rate | 6M | 2,75 |
| Vorvel RFQ | Titoli di stato IT | IT0005594467 | CCTEU 15 AP 32 | 15/04/2032 | EUR | Floating rate | Floating rate | 6M | 3,15 |
| Vorvel Bonds | Titoli di stato IT | IT0005594467 | CCTEU 15 AP 32 | 15/04/2032 | EUR | Floating rate | Floating rate | 6M | 3,15 |
| Vorvel Bonds | Titoli di stato IT | IT0005620460 | CCTEU 15 AP 33 | 15/04/2033 | EUR | Floating rate | Floating rate | 6M | 3,20 |
| Vorvel RFQ | Titoli di stato IT | IT0005620460 | CCTEU 15 AP 33 | 15/04/2033 | EUR | Floating rate | Floating rate | 6M | 3,20 |
| Vorvel Bonds | Titoli di stato IT | IT0005652828 | CCTEU 15 AP 34 | 15/04/2034 | EUR | Floating rate | Floating rate | 6M | 3,15 |
| Vorvel RFQ | Titoli di stato IT | IT0005652828 | CCTEU 15 AP 34 | 15/04/2034 | EUR | Floating rate | Floating rate | 6M | 3,15 |
| Vorvel Bonds | Titoli di stato IT | IT0005680753 | CCTEU 15 AP 35 | 15/04/2035 | EUR | Floating rate | Floating rate | 6M | 2,90 |
| Vorvel RFQ | Titoli di stato IT | IT0005680753 | CCTEU 15 AP 35 | 15/04/2035 | EUR | Floating rate | Floating rate | 6M | 2,90 |
| Vorvel Bonds | Titoli di stato IT | IT0005534984 | CCTEU 15 OT 28 | 15/10/2028 | EUR | Floating rate | Floating rate | 6M | 2,90 |
| Vorvel RFQ | Titoli di stato IT | IT0005534984 | CCTEU 15 OT 28 | 15/10/2028 | EUR | Floating rate | Floating rate | 6M | 2,90 |
| Vorvel Bonds | Titoli di stato IT | IT0005491250 | CCTEU 15 OT 30 | 15/10/2030 | EUR | Floating rate | Floating rate | 6M | 2,85 |
| Vorvel RFQ | Titoli di stato IT | IT0005491250 | CCTEU 15 OT 30 | 15/10/2030 | EUR | Floating rate | Floating rate | 6M | 2,85 |
| Vorvel Bonds | Titoli di stato IT | IT0005554982 | CCTEU 15 OT 31 | 15/10/2031 | EUR | Floating rate | Floating rate | 6M | 3,25 |
| Vorvel RFQ | Titoli di stato IT | IT0005554982 | CCTEU 15 OT 31 | 15/10/2031 | EUR | Floating rate | Floating rate | 6M | 3,25 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005398901 | CHIANTIBANCA S/UP 03/02/2028 | 03/02/2028 | EUR | Mixed Rate | Mixed Rate | 6M | 2,30 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005432635 | CHIANTIBANCA S/UP 25/01/2031 | 25/01/2031 | EUR | Mixed Rate | Mixed Rate | 6M | 1,00 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005160715 | CHIANTIBANCA ZC 01/02/2026 | 01/02/2026 | EUR | Zero Coupon | Zero Coupon | - | |
| Vorvel Bonds | Obbligazioni bancarie | XS1457608286 | CITIGROUP 1,50% 26/10/2028 CALL | 26/10/2028 | EUR | Fixed rate | Fixed rate | 1Y | 1,50 |
| Vorvel Bonds | Obbligazioni bancarie | XS1107727007 | CITIGROUP 2,125% 10/09/2026 | 10/09/2026 | EUR | Fixed rate | Fixed rate | 1Y | 2,13 |
| Vorvel Bonds | Obbligazioni senza LP | XS1273452877 | CITIGROUP S/UP 18/06/2028 USD | 18/06/2028 | USD | Mixed Rate | Mixed Rate | 1Y | 1,75 |
| Vorvel Equity Auction | Azioni | IT0001014783 | CIVIBANK AZIONI ORDINARIE | - | EUR | Zero Coupon | Zero Coupon | - | |
| Vorvel Bonds | Obbligazioni corporate | XS1969600748 | CNH IND1,75% 25/03/2027 CALL | 25/03/2027 | EUR | Fixed rate | Fixed rate | 1Y | 1,75 |
| Vorvel Bonds | Obbligazioni Mercati Emergenti | XS1385239006 | COLOMBIA 3,875% 22/3/26 CALL | 22/03/2026 | EUR | Fixed rate | Fixed rate | 1Y | 3,88 |
| Vorvel Bonds | Obbligazioni bancarie | DE000CZ40LD5 | COMMERZBANK 4,00% 23/03/26 SUB | 23/03/2026 | EUR | Fixed rate | Fixed rate | 1Y | 4,00 |
| Vorvel Bonds | Obbligazioni bancarie | DE000CZ40LW5 | COMMERZBANK 4,00% 30/03/27 SUB | 30/03/2027 | EUR | Fixed rate | Fixed rate | 1Y | 4,00 |
| Vorvel Bonds | Obbligazioni sovranazionali | XS2592839810 | COUNCIL OF EU 27,5% 06/3/28 TRY | 06/03/2028 | TRY | Fixed rate | Fixed rate | 1Y | 27,50 |
| Vorvel Bonds | Obbligazioni Bancarie Branded con LP | IT0005669202 | CR BZ SPARKASSE 2,70% 30/09/28 | 30/09/2028 | EUR | Fixed rate | Fixed rate | 1Y | 2,70 |
| Vorvel Bonds | Obbligazioni Bancarie Branded con LP | IT0005585259 | CR BZ SPARKASSE 3,50% 28/03/28 | 28/03/2028 | EUR | Fixed rate | Fixed rate | 6M | 3,50 |
| Vorvel Bonds | Obbligazioni Bancarie Branded con LP | IT0005531832 | CR BZ SPARKASSE 4,00% 28/02/28 | 28/02/2028 | EUR | Fixed rate | Fixed rate | 6M | 4,00 |
| Vorvel Bonds | Obbligazioni Bancarie Branded con LP | IT0005531840 | CR BZ SPARKASSE TV 28/02/2026 | 28/02/2026 | EUR | Mixed Rate | Mixed Rate | 3M | |
| Vorvel Bonds | Obbligazioni senza LP | IT0005417818 | CR FOSSANO 2,75% 10/9/27 SUB328a | 10/09/2027 | EUR | Fixed rate | Fixed rate | 6M | 2,75 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005274649 | CR RAVENNA 1% 3/7/27 353a CALL | 03/07/2027 | EUR | Fixed rate | Fixed rate | 6M | 1,00 |
| Vorvel Bonds | Obbligazioni senza LP | IT0003804264 | CR RAVENNA ZC 01/02/35 42a | 01/02/2035 | EUR | Zero Coupon | Zero Coupon | - | |
| Vorvel Bonds | Obbligazioni bancarie | XS1538284230 | CR. AGRICOLE 1,875% 20/12/26 | 20/12/2026 | EUR | Fixed rate | Fixed rate | 1Y | 1,88 |
| Vorvel Bonds | Obbligazioni bancarie | XS1204154410 | CR. AGRICOLE 2,625% 17/03/27 SUB | 17/03/2027 | EUR | Fixed rate | Fixed rate | 1Y | 2,63 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005378937 | CR. FOSSANO 3,5% 1/8/26 SUB 322a | 01/08/2026 | EUR | Fixed rate | Fixed rate | 6M | 3,50 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005419087 | CRA CANTU S/UP 07/09/2027 1a | 07/09/2027 | EUR | Mixed Rate | Mixed Rate | 6M | 1,75 |
| Vorvel Bonds | Obbligazioni senza LP | IT0005498800 | CRA CANTU S/UP 18/07/2029 | 18/07/2029 | EUR | Mixed Rate | Mixed Rate | 6M | 2,00 |
| Vorvel Bonds | Obbligazioni bancarie | XS2606341787 | CREDEM GREEN TM 30/05/2029 CALL | 30/05/2029 | EUR | Mixed Rate | Mixed Rate | 1Y | 5,63 |
| Vorvel Bonds | Obbligazioni senza LP | XS2640881608 | CREDEM SOCIAL 4,15% 25/07/28 | 25/07/2028 | EUR | Fixed rate | Fixed rate | 6M | 4,15 |
| Vorvel Bonds | Obbligazioni senza LP | XS3074457196 | CREDEM TM 21/05/37 CALL | 21/05/2037 | EUR | Mixed Rate | Mixed Rate | 1Y | 4,61 |
| Vorvel Bonds | Obbligazioni senza LP | FR001400XJP0 | CREDIT AGRICOLE TM PERP CALL | - | EUR | Mixed Rate | Mixed Rate | 3M |