Obbligazioni senza LP

Obbligazioni senza LP

Rend. Acquisto
No. proposte (in acquisto)
Q.tà Acquisto
Prezzo Acquisto
Prezzo Vendita
Q.tà Vendita
No. proposte (in vendita)
Rend. Vendita
Var %
Scheda
IT0005536419 INTESA SANPAOLO 4,21% 31/03/26 31/03/2026 EUR Fixed rate 1Y 4,21
XS2745705637 INTESA SANPAOLO S/D 12/1/32 USD 12/01/2032 USD Mixed Rate 3M 7,00
IT0005630188 INTESA SANPAOLO S/DW 14/1/37 USD 14/01/2037 USD Mixed Rate 1Y 10,00
IT0005642761 INTESA SANPAOLO S/DW 2/4/30 USD 02/04/2030 USD Mixed Rate 3M 8,00 6,321 1 4.000 92,2
IT0005642779 INTESA SANPAOLO S/DW 2/4/35 USD 02/04/2035 USD Mixed Rate 3M 9,00
IT0005655342 INTESA SANPAOLO S/DW 23/6/31 USD 23/06/2031 USD Mixed Rate 3M 8,00
IT0005655359 INTESA SANPAOLO S/DW 23/6/33 USD 23/06/2033 USD Mixed Rate 3M 8,00
IT0005655375 INTESA SANPAOLO S/DW 23/6/37 USD 23/06/2037 USD Mixed Rate 3M 10,00 6,361 1 4.000 91,8
IT0005621138 INTESA SANPAOLO TV 14/11/2028 14/11/2028 EUR Floating rate 1M 2,72
XS2804483381 INTESA SANPAOLO TV 16/04/27 16/04/2027 EUR Floating rate 3M 2,64
IT0005623761 INTESA SANPAOLO TV 27/11/2026 27/11/2026 EUR Floating rate 3M 2,53
XS3114394995 INVITALIA 3,125% 18/07/30 CAL 18/07/2030 EUR Fixed rate 1Y 3,13
XS1551294256 ISRAELE 1,5% 18/1/27 18/01/2027 EUR Fixed rate 1Y 1,00
XS3047452316 LOTTOMATICA 4,875% 31/01/31 CALL 31/01/2031 EUR Fixed rate 6M 4,88
XS2824640713 LOTTOMATICA TM 01/06/31 CALL 01/06/2031 EUR Floating rate 3M 5,30
USG5852MAA02 MALDIVES ISS 9,875% 08/04/26 USD 08/04/2026 USD Fixed rate 6M 9,88
IT0005493652 MEDIOBANCA 2,10% 25/05/2028 25/05/2028 EUR Fixed rate 1Y 2,10 3,281 1 15.000 97,01
IT0005507832 MEDIOBANCA 2,90% 28/09/2027 28/09/2027 EUR Fixed rate 1Y 2,90
XS2493296730 MEDIOBANCA 3,00% 13/07/2026 13/07/2026 EUR Fixed rate 1Y 3,00
IT0005490955 MEDIOBANCA 3,00% 29/04/27 USD 29/04/2027 USD Fixed rate 1Y 3,00
XS2750224201 MEDIOBANCA 3,10% 16/02/2029 16/02/2029 EUR Fixed rate 1Y 3,10
IT0005531485 MEDIOBANCA 3,25% 01/03/2026 01/03/2026 EUR Fixed rate 1Y 3,25
IT0005520470 MEDIOBANCA 3,40% 21/12/2027 21/12/2027 EUR Fixed rate 1Y 3,40
IT0005516437 MEDIOBANCA 3,45% 16/11/2025 16/11/2025 EUR Fixed rate 1Y 3,45
XS2666415836 MEDIOBANCA 3,65% 29/09/28 29/09/2028 EUR Fixed rate 1Y 3,65
IT0005188351 MEDIOBANCA 3,75% 16/06/26 SUB 16/06/2026 EUR Fixed rate 1Y 3,75
IT0005539504 MEDIOBANCA 3,80% 26/04/2027 26/04/2027 EUR Mixed Rate 3M 2,50
IT0005512931 MEDIOBANCA 3,90% 14/11/2025 14/11/2025 EUR Fixed rate 1Y 3,90
XS2725942523 MEDIOBANCA 4,00% 25/01/2029 25/01/2029 EUR Fixed rate 1Y 4,00
XS2665176298 MEDIOBANCA 4,00% 25/09/2028 25/09/2028 EUR Fixed rate 1Y 4,00
XS2749779067 MEDIOBANCA S/UP 21/02/30 21/02/2030 EUR Mixed Rate 1Y 3,20
IT0005507840 MEDIOBANCA S/UP 30/09/26 30/09/2026 EUR Mixed Rate 1Y 3,00
IT0005661761 MEDIOBANCA TM 22/08/31 CALL 22/08/2031 EUR Mixed Rate 1Y 3,13
XS2965706216 MEDIOBANCA TM 28/02/31 28/02/2031 EUR Mixed Rate 1Y 4,00 5,785 1 3.000 91,64
IT0005581530 MEDIOBANCA TM 28/03/2029 28/03/2029 EUR Mixed Rate 3M 3,94
IT0005595597 MEDIOBANCA TM 28/06/2031 28/06/2031 EUR Mixed Rate 1Y 4,00
IT0005652042 MEDIOBANCA TM 30/06/32 30/06/2032 EUR Mixed Rate 1Y 4,50 5,865 1 2.000 92,9
XS2741304823 MEDIOBANCA TM 31/01/2031 31/01/2031 EUR Mixed Rate 3M 2,02 4,698 1 3.000 93,21
IT0005614984 MEDIOBANCA TM 31/10/2030 31/10/2030 EUR Mixed Rate 1Y 3,45
IT0005615122 MEDIOBANCA TV 13/11/2031 13/11/2031 EUR Floating rate 3M 2,53
IT0005655847 MEDIOBANCA TV 16/07/27 16/07/2027 EUR Floating rate 3M 2,39
IT0005636805 MEDIOBANCA TV 25/03/27 25/03/2027 EUR Floating rate 3M 2,38
IT0005638280 MEDIOBANCA TV 27/03/28 27/03/2028 EUR Floating rate 3M 2,54
IT0005614125 MEDIOBANCA TV 31/10/2029 31/10/2029 EUR Floating rate 3M 2,03 5,076 1 2.000 89,99
IT0005614612 MEDIOBANCA TV 31/10/2031 31/10/2031 EUR Floating rate 3M 2,03 4,166 1 2.000 91,28
XS3015684361 METRO 4,0% 05/03/2030 CALL 05/03/2030 EUR Fixed rate 1Y 4,00
XS2778370051 METRO 4,625% 07/03/2029 CALL 07/03/2029 EUR Fixed rate 1Y 4,63 6,526 1 3.000 94,24
IT0005593212 MONTE DEI PASCHI 3,50% 23/04/29 23/04/2029 EUR Fixed rate 1Y 3,50
XS3077018714 NEXI 3,875% 21/05/2031 CALL 21/05/2031 EUR Fixed rate 1Y 3,88
FR0013508470 OAT 0% 25/02/2026 25/02/2026 EUR Fixed rate 1Y