Displaying 1-10 of 615 results.
 IssuerAmount IssuedCurrencyIsinRatingCoupon TypeFreqMin PieceIssue DateMaturityCall DateCoupon Post CallCountryIndustry SectorCumulativeSeniority TypeStep UpLoss AbsDateBidAsk
Cancella i filtri
RWE500USDXS0767140022BBB/Baa27,0000%Sem.20002012-04-122072-10-122017-10-12dal 2017 IRS $ 5a + 5,754%, dal 2022 IRS $ 5a + 6,004%, dal 2037GermaniautilitiesSi   
Rabobank2000USDXS0703303262A-8,4000%Sem.1000002011-11-090000-00-002017-06-29Tbond 5a + 7,49%OlandabancaNoTier 1NoSi (Equity C   
EnBW750EURXS0674277933BBB/Baa17,3750%Ann.10002011-10-282072-04-022017-04-02dal 2018 IRS 5a + 5,401%, dal 2023 IRS 5a + 5,651%, dal 2038 IRSGermaniaproduzione e distribuzione energiaSiSi (dal 2023No   
OMV750EURXS0629626663Baa36,7500%Ann.10002011-06-030000-00-002018-04-26IRS 5a + 3,75%, dal 2024 euribor 12m + 4,75%Austriaproduzione e distribuzione energiaSi2011-11-2298.299.4
Bhira Investments (Tata Power)450USDXS0620623636BB-/Ba38,5000%S+S+T1000002011-04-272071-04-272016-04-27dal 2016 Tbond 5a + 6,414%, dal 2021 libor $ 3m +7,226%IndiaenergiaSi2011-11-2298.3100
Citic Pacific750USDXS0612337500BBB-/Ba17,8750%Sem1000002011-04-150000-00-002016-04-15Tbond 5a + 5,445%, dal 2021 Tbond 5a + 6,445%Hong KongacciaioNo2011-11-229494
Rabobank2000USDXS0583302996A8,3750%Sem.1000002011-01-260000-00-002016-07-26Tbond 5a + 6,425%OlandabancaNoSi (Equity C2011-11-2299100.3
Dong700EURXS0560190901BB+/Baa37,7500%Ann.10002011-01-243010-06-012021-06-01euribor 12m + 5,50%Danimarcaproduzione e distribuzione energiaSi2011-11-22103.5105.1
Alliander BV500EURXS0558238043A-/A34,8750%Ann.500002010-11-110000-00-002015-11-11dal 2016 IRS 5a + 2,90%, dal 2021 euribor 12m + 3,90%Olandarete gas ed elettricitàSi2011-11-2297.698.6
Cosan Overseas300USDXS0556373347BB/Ba38,2500%Trim.1000002010-11-050000-00-002015-11-05invariataBrasilezucchero, etanolosenior unsecuredNo2011-11-22101101
 
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