Displaying 371-380 of 615 results.
 IssuerAmount IssuedCurrencyIsinRatingCoupon TypeFreqMin PieceIssue DateMaturityCall DateCoupon Post CallCountryIndustry SectorCumulativeSeniority TypeStep UpLoss AbsDateBidAsk
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Crédit Agricole PFT1500USDXS0161441000BBB-/Baa37,0000%Trim.10002003-01-150000-00-002009-01-30invariataFranciabancaNoTier 1No2012-06-226565
EFG Hellas Series B400EURXS0232848399CCC+/B24,5650%A + T500002005-11-020000-00-002015-11-02euribor 3m + 2,22%GreciabancaNoTier 12012-06-2224.336.4
Helvetia Holding300CHFCH01197994244,7500%A + T50002010-11-300000-00-002015-11-30libor CHF 3m + 3,596%SvizzeraassicurazioniSi2011-11-2299.7100.3
Lloyds TSB Group Plc500EURXS0406095637BB7,8750%Ann.10002009-01-190000-00-002013-02-25invariataGran BretagnabancaNoTier 1No2011-11-226565
UBS1000EURXS0357283257BBB-/Baa38,8360%A + T500002008-04-110000-00-002013-04-11euribor 3m + 4,65%SvizzerabancaNoTier 12012-06-22101102.2
HSBC Capital Funding (Dollar 2)1250USDUSG463802037BBB+/A34,6100%S + T10002003-06-270000-00-002013-06-27libor $ 3m + 1,995%Gran BretagnabancaNoTier 1Si2012-06-2296.597.7
Axa225USDXS0185672291BBB+/Baa1USD IRS 10a + 0,05%, max 8%Sem.10002004-02-060000-00-002009-02-06invariataFranciaassicurazioniSiNo2012-06-2245.848.2
Standard Chartered99GBPGB0008399700BBB+/Baa28,2500%Sem.11995-12-080000-00-000000-00-00invariataGran BretagnabancaNoTier 1No2011-11-22111114.5
IVG400EURDE000A0JQMH5unrated8,0000%1000002006-05-050000-00-002013-05-05euribor 6m + 1,75%Germaniasocietà immobiliare2012-06-2245.548
Solvay500EURXS0254808214BBB/Baa16,3750%A + T10002006-06-022104-06-022016-06-02euribor 3m + 3,35%Belgiochimica, farmaSi2012-06-22102.7104
 
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