Displaying 371-380 of 615 results.
 IssuerAmount IssuedCurrencyIsinRatingCoupon TypeFreqMin PieceIssue DateMaturityCall DateCoupon Post CallCountryIndustry SectorCumulativeSeniority TypeStep UpLoss AbsDateBidAsk
Cancella i filtri
Royal Bank of Scotland Capital Trust D400GBPXS0277453774C5,6457%A + T10002006-12-080000-00-002017-06-08libor £ 3m + 1,69%Gran BretagnabancaNoTier 12012-06-2200
Danske Bank750USDUSK22272CP99BBB-/Baa35,9140%S + T1000002004-06-150000-00-002014-06-16libor $ 3m + 1,66%DanimarcabancaSiTier 1   
Claudius Limited Series B (Credit Suisse)1500USDXS0531067659BBB/Baa17,8750%Sem.20002010-08-120000-00-002015-12-12invariataSvizzerabancaNoTier 1No2011-11-2295.496.8
BBVA Series C600USDUS05530RAB42BBB/Baa25,9190%S + T10002007-04-180000-00-002017-04-18libor $ 3m + 0,82%, min 5,919%SpagnabancaNoTier 12012-06-226161
Lloyds TSB Bank1000USDXS0156372343BB+6,9000%Trim.10002002-10-220000-00-002007-11-22invariataGran BretagnabancaSiTier 1No2011-11-2273.175.5
Barclays Bank PLC750USDXS0129959978BBB/Baa37,3750%S + T10002001-06-050000-00-002011-12-15libor $ 3m + 2,33%Gran BretagnabancaSiTier 1Si2012-06-2200
Caisse Nationale des Caisses d’Epargne et de Prévoyance (BPCE)850EURFR0010535971BBB-/Baa36,1170%A + T500002007-10-300000-00-002017-10-30euribor 3m + 2,37%FranciabancaNoTier 1Si2012-06-2261.162.8
Axa350GBPXS0260056717BBB+/Baa16,6862%A + T500002006-07-060000-00-002026-07-06libor £ 3m + 2,75%FranciaassicurazioniTier 12012-06-2265.267.3
BNP Paribas Cap. Trust III500EURXS0135791217A-/Baa16,6250%A + T10002001-10-230000-00-002011-10-23euribor 3m + 2,60%FranciabancaTier 1Si   
Tui300EURDE000TUAG059CCC-/Caa28,6250%A + T10002005-12-090000-00-002013-01-30euribor 3m + 7,30%Germaniatrasporti marittimi, logistica, turismoSi2012-06-2291.593
 
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