Sabato, Maggio 18, 2024 - 08:37

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
IT0005023947C. AGRICOLE ITA 3,75% 23/5/2423/05/2024EURFixed rate6M3,75
IT0005541872BCA POP SONDRIO 5,00% 28/04/202828/04/2028EURFixed rate6M5,004,371118.000102,25
IT0005541864BCA POP SONDRIO 4,50% 28/04/202628/04/2026EURFixed rate6M4,504,336118.000100,3102,696.00013,058
IT0005541849BANCA DEL FUCINO 4,00% 17/10/2517/10/2025EURFixed rate6M4,00
IT0005541310C. AGRICOLE ITA 4,00% 28/04/2528/04/2025EURFixed rate6M4,00100,7512.00013,202
IT0005541229C. AGRICOLE ITA 3,00% 28/04/2528/04/2025EURFixed rate6M3,0099,2312.00013,875
IT0005536807C. AGRICOLE ITA 3,25% 31/03/2531/03/2025EURFixed rate6M3,2599,747.00013,587
IT0005536781C. AGRICOLE ITA 4,00% 31/03/2531/03/2025EURFixed rate6M4,004,2761100.00099,8
IT0005536625BCA VALSABBINA 4,50% 15/03/2715/03/2027EURFixed rate6M4,505,1341177.00098,35101,9915.00013,747
IT0005536617BCA VALSABBINA 4,00% 15/03/2615/03/2026EURFixed rate6M4,00
IT0005535841BANCA DEL FUCINO 4,00% 15/09/2515/09/2025EURFixed rate6M4,0099,7410.00014,201
IT0005534943BCA POP SONDRIO 4,75% 31/03/202731/03/2027EURFixed rate6M4,75101,9838.00014,012
IT0005532921B SELLA GREEN BOND 5,10% 21/3/2821/03/2028EURFixed rate6M5,10
IT0005532756C. AGRICOLE ITA 3,00% 27/08/2527/08/2025EURFixed rate6M3,0098,825.00013,976
IT0005532749C. AGRICOLE ITA 4,00% 27/02/2827/02/2028EURFixed rate6M4,004,158150.00099,45
IT0005531832CR BZ SPARKASSE 4,00% 28/02/2828/02/2028EURFixed rate6M4,00
IT0005529745BCA POP SONDRIO 4,50% 08/02/202608/02/2026EURFixed rate6M4,50100,7910.00014,016
IT0005529737BCA POP SONDRIO 5,25% 08/02/202808/02/2028EURFixed rate6M5,254,365115.000103103,7314.00014,1550,0193
IT0005529729BCA POP SONDRIO 4,00% 08/02/202508/02/2025EURFixed rate6M4,004,37012.00099,75100,2410.00013,666
IT0005518672BCA POP SONDRIO 5,25% 31/01/202831/01/2028EURFixed rate6M5,254,360114.000103103,7941.00024,132
IT0005518664BCA POP SONDRIO 4,25% 31/05/202531/05/2025EURFixed rate6M4,254,41114.00099,85100,1919.00014,069
IT0005513152BCA POP SONDRIO 5,50% 28/10/202728/10/2027EURFixed rate6M5,504,360116.000103,61045.00014,236
IT0005513145BCA POP SONDRIO 4,25% 28/10/202428/10/2024EURFixed rate6M4,25100,1930.00013,798
IT0005513137BCA POP SONDRIO 4,75% 28/10/202528/10/2025EURFixed rate6M4,754,277110.000100,651035.00012,608
IT0005507501BCA POP SONDRIO 3,20% 30/09/202630/09/2026EURFixed rate6M3,204,321120.00097,53100,24.00013,120
IT0005507493BCA POP SONDRIO 2,70% 05/01/202505/01/2025EURFixed rate6M2,704,851120.00098,799,3411.00013,786
IT0005503799BCA POP. SONDRIO 2,25% 22/8/202422/08/2024EURFixed rate6M2,2599,6917.00013,455
IT0005498347BCA POP SONDRIO 3,25% 30/06/2730/06/2027EURFixed rate6M3,253,701116.00098,7199,643.00013,381-0,0102
IT0005498339BCA POP SONDRIO 2,75% 30/06/2530/06/2025EURFixed rate6M2,754,229118.00098,4299,23.00013,498
IT0005459000BCA POP SONDRIO 1,30% 13/10/2613/10/2026EURFixed rate6M1,304,317115.00093,295,185.00013,412
IT0005440992BCA POP SONDRIO 1,75% 10/05/2810/05/2028EURFixed rate6M1,754,351120.00090,6191,9810.00013,952
IT0005440984BCA POP SONDRIO 1,45% 10/05/2610/05/2026EURFixed rate6M1,454,31711.00094,6494,957.00014,1460,211
IT0005439143BCA POP SONDRIO 1,50% 09/04/2609/04/2026EURFixed rate6M1,504,260122.00095,0597,972.00012,610
IT0005434557BCA POP SONDRIO 1,45% 02/03/2602/03/2026EURFixed rate6M1,454,244116.00095,2596,373.00013,569
IT0005432106BCA POP SONDRIO 1,65% 25/01/2825/01/2028EURFixed rate6M1,654,338115.00090,959321.00013,702
IT0005432098BCA POP SONDRIO 1,45% 25/01/2625/01/2026EURFixed rate6M1,454,249115.00095,510,115
IT0005429714BCA POP SONDRIO 1,75% 15/12/2715/12/2027EURFixed rate6M1,754,341110.00091,5293,1514.00013,8210,0107
IT0005429706BCA POP SONDRIO 1,50% 15/12/2515/12/2025EURFixed rate6M1,504,222110.00095,9196,4428.00013,861
IT0005586513BANCA DEL FUCINO 3,80% 30/04/2730/04/2027EURFixed rate6M3,80
IT0005582447BCA VALSABBINA 4,50% 12/02/2812/02/2028EURFixed rate6M4,505,24517.00097,5
IT0005029688C. AGRICOLE ITA 3,5% 01/7/2401/07/2024EURFixed rate6M3,50
IT0005029886C. AGRICOLE ITA 3,75% 24/6/2424/06/2024EURFixed rate6M3,75
IT0005032849C. AGRICOLE ITA 3,35% 14/7/2414/07/2024EURFixed rate6M3,35
IT0005040313C. AGRICOLE ITA 3,35% 25/7/2425/07/2024EURFixed rate6M3,35100,0520.00013,036
IT0005055691C. AGRICOLE ITA 2,9% 1/10/2401/10/2024EURFixed rate6M2,90
IT0005069734C. AGRICOLE ITA 2,7% 30/12/2430/12/2024EURFixed rate6M2,7099,8238.00013,005
IT0005073405C. AGRICOLE ITA 3% 23/12/2423/12/2024EURFixed rate6M3,00
IT0005085847C. AGRICOLE ITA 2% 23/02/2523/02/2025EURFixed rate6M2,00
IT0005118101C. AGRICOLE ITA 2% 15/06/2515/06/2025EURFixed rate6M2,00
IT0005125031C. AGRICOLE ITA 2% 10/08/2510/08/2025EURFixed rate6M2,00