Displaying 371-380 of 615 results.
 IssuerAmount IssuedCurrencyIsinRatingCoupon TypeFreqMin PieceIssue DateMaturityCall DateCoupon Post CallCountryIndustry SectorCumulativeSeniority TypeStep UpLoss AbsDateBidAsk
Cancella i filtri
BNP Paribas500EURFR0010638338BBB+/Baa37,7810%A + T500002008-06-300000-00-002018-07-02euribor 3m + 3,75%FranciabancaNoTier 1Si2011-11-2279.180.7
Glencore Fin. Europe700USDXS0242047073BBB-8,0000%Trim.10002006-02-060000-00-002011-02-06?Svizzera2012-06-2200
Axa500GBPXS0260056048BBB+/Baa16,6666%A + T500002006-07-060000-00-002016-07-06libor £ 3m + 2,50%FranciaassicurazioniTier 12012-06-2273.275.2
Aareal Bank Cap. F. Trust250EURXS01389730107,1250%Trim.252001-11-200000-00-002006-12-31invariataGermaniabancaNoTier 1No2011-11-2214.314.6
Danske Bank1350SEKXS0286467989BBB-/Baa3stibor 3m + 0,65%Trim.5000002007-02-150000-00-002017-02-15stibor 3m + 1,65%Danimarcabanca2012-06-2200
Old Mutual Cap. Fund.750USDXS0168687100BB+/Baa38,0000%Trim.10002003-05-220000-00-002008-12-22invariataGran Bretagnaassicurazioni e servizi finanziariSiTier 1No2012-06-2299.3100
SEB500EURXS0454821462BBB-/Ba19,2500%10002009-10-010000-00-002015-03-31IRS 5a + 6,40%SveziabancaNoTier 1No2012-06-22105106
CNP Assurances160EURFR0010318386A/A15,2500%A + T500002006-05-160000-00-002036-05-16euribor 3m + 1,85%FranciaassicurazioniNo2012-06-2247.448.3
Citic Pacific750USDXS0612337500BBB-/Ba17,8750%Sem1000002011-04-150000-00-002016-04-15Tbond 5a + 5,445%, dal 2021 Tbond 5a + 6,445%Hong KongacciaioNo2011-11-229494
Lehman Brothers UK Cap. Fund. II250EURXS0229269856D5,1250%Ann.10002005-09-210000-00-002009-09-21invariataUsabancaTier 1No2012-06-2200
 
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