Displaying 371-380 of 615 results.
 IssuerAmount IssuedCurrencyIsinRatingCoupon TypeFreqMin PieceIssue DateMaturityCall DateCoupon Post CallCountryIndustry SectorCumulativeSeniority TypeStep UpLoss AbsDateBidAsk
Cancella i filtri
Munich Re300GBPXS0167260529A/A27,6250%Ann.10002003-04-162028-06-212018-06-21Gilt + 2,95%Germaniariassicurazione2012-06-22112113.3
Crédit Agricole S.A.500EURFR0010670422BBB-/Baa310,6530%A + T500002008-09-300000-00-002018-09-30euribor 3m + 6,80%FranciabancaNoTier 12012-06-2284.585.3
Deutsche Bank Cap. F. T. VIII600USDUS25153U2042BBB/Baa26,3750%Trim.252006-10-180000-00-002011-10-18invariataGermaniabancaNoTier 1No2012-06-2223.423.4
Friesland Bank125EURNL0000116457Ba1TdS olandese 10a + 0,125%, max 8%Trim.1002004-12-030000-00-002014-12-03invariataOlandabancaSiNo2012-06-2260.565
Swiss Life325CHFCH0122488445BBB-/A35,2500%50002011-04-040000-00-002016-10-04?Svizzeraassicurazioni2011-11-2293.394.1
Aberdeen Asset Management400USDXS0300154878BBB7,9000%Trim.20002007-05-290000-00-002012-05-29invariataGran Bretagnaasset managementSiNo2012-06-2294.896.6
Michelin500EURFR0010034298BB+6,3750%A + T10002003-12-032033-12-032013-12-03euribor 3m + 2,95%FranciapneumaticiSi2012-06-22103.9106.1
BNP Paribas200GBPFR0010533026BBB+/Baa37,4360%A + T500002007-10-230000-00-002017-10-23libor £ 3m + 1,85%FranciabancaNoTier 1No   
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
Natixis (BPCE)750USDUSF6483LHM57BBB/Ba210,0000%S + T1000002008-04-300000-00-002018-04-30libor $ 3m + 6,51FranciabancaNoTier 12011-11-228282
 
Seleziona le colonne da visualizzare