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Nuove Emissioni Obbligazionarie

Emissione
(S&/MOO/FIT)
ISIN Coupon Scad. Prezzo
Emiss.
Amm.
(mln)
Val. Mer. Set. Set.Lead Manager
Afd (AA/---/AA) FR0014001L06 TF-A 0,63% 22-01-26 99,446 2000 USD FR GA n.d.
Banq Fed Credit (A/---/A+) FR0014001I68 TF-A 0,25% 19-07-28 99,711 1000 EUR FR CB n.d.
Be 0.00 05-24 (A/Baa1/A-) ES0000012H33 ZC 31-05-24 101,680 2791 EUR ES GT n.d.
Berlin (---/Aa1/AAA) DE000A3H2Y08 TF-A 0,10% 18-01-41 99,704 1250 EUR DE GP n.d.
Bng Bank (AAA/Aaa/AAA) XS2289404704 ZC 20-01-31 102,483 1000 EUR EU GA n.d.
Bnp (A+/Aa3/A+) FR0014001GJ0 TF-A 1,25% 13-07-31 99,522 1000 GBP FR CB n.d.
Bpce (A+/---/A+) FR0014001G37 TF-A 0,25% 14-01-31 99,263 1250 EUR FR CB n.d.
Btp 01Mar37 0.95 (BBB/Baa3/BBB-) IT0005433195 TF-S 0,95% 01-03-37 99,409 10000 EUR IT GT n.d.
Bund Brd (AAA/Aaa/AAA) DE0001102531 ZC 15-02-31 105,360 5000 EUR DE GT n.d.
Bund Obl (AAA/Aaa/AAA) DE0001141836 ZC 10-04-26 103,720 5000 EUR DE GT n.d.
Cades (---/---/AA) XS2287909159 TF-A 1,38% 20-01-31 99,721 5000 USD EU GA n.d.
Cedb (AAA/Aa1/AA+) XS2286422071 ZC 20-01-31 103,382 1000 EUR EU SP n.d.
Credit Agricole (A+/Aa3/A+) USF2R125CH68 TF-S 2,81% 11-01-41 100,000 1500 USD EU CB n.d.
Credit Suisse Gp (BBB+/---/A-) CH0591979627 TF-A 0,63% 18-01-33 99,060 1500 EUR CH CB Credit Suisse Securi
Dexia Cr Local (BBB/Baa3/BBB+) XS2289130226 ZC 21-01-28 101,739 1500 EUR EU CB n.d.
Eib (AAA/Aaa/AAA) XS2283340060 ZC 14-01-31 103,527 5000 EUR EU SP n.d.
Eib (AAA/Aaa/AAA) XS2281370903 TF-A 0,13% 14-12-26 99,758 1500 GBP EU SP n.d.
Eib (AAA/Aaa/AAA) XS2287879733 TF-A 0,01% 15-05-41 100,264 1500 EUR EU SP n.d.
Eib (AAA/Aaa/AAA) XS2290963466 TF-A 0,05% 27-01-51 98,817 1000 EUR EU SP n.d.
Eib (AAA/Aaa/AAA) XS2287877018 TV-T SONIA+1 18-01-27 104,885 1500 GBP EU SP n.d.
Eib (AAA/Aaa/AAA) XS2292260960 TV-A ESTR+2 27-01-28 114,418 1000 EUR EU SP n.d.
Eib 07/27 (AAA/Aaa/AAA) AU3CB0277077 TF-S 0,75% 15-07-27 99,842 1250 AUD AU SP n.d.
Esm (AAA/Aa1/AAA) EU000A2SB992 ZC 13-01-22 100,628 1099 EUR EU SP n.d.
European Fin Sta (AA/Aa1/---) EU000A1G0EL5 ZC 20-01-31 103,228 3000 EUR EU SP n.d.
European Fin Sta (AA/Aa1/---) EU000A1G0EM3 TF-A 0,05% 18-01-52 97,691 2000 EUR EU SP n.d.
Exim Bank (BBB-/Baa3/BBB-) US30216KAF93 TF-S 2,25% 13-01-31 98,999 1000 USD EU GA n.d.
Hyundai Cap (BBB+/---/---) US44891CBR34 TF-S 0,80% 08-01-24 99,873 1200 USD EU FI n.d.
Ibrd (AAA/Aaa/AAA) CA459058JP94 TF-S 0,63% 14-01-26 99,750 1500 CAD CA SP n.d.
Ibrd (AAA/Aaa/AAA) XS2289410420 TF-A 0,20% 21-01-61 99,885 2000 EUR XS SP n.d.
Indonesia (BBB/Baa2/BBB) XS2280331898 TF-A 1,10% 12-03-33 99,165 1000 EUR EU GT n.d.
Ireland (AA-/A2/A+) IE00BMQ5JL65 ZC 18-10-31 102,809 5500 EUR IE GT n.d.
Jgb 10Yr 361 (A+/A1/A) JP1103611M11 TF-S 0,10% 20-12-30 100,800 2598870 JPY JP GT n.d.
Jgb 20Yr 175 (A+/A1/A) JP1201751M13 TF-S 0,50% 20-12-40 101,040 1209000 JPY JP GT n.d.
Jgb 2Yr 420 (A+/A1/A) JP1024201M15 TF-S 0,10% 01-01-23 100,458 3041000 JPY JP GT n.d.
Jgb 30Yr 69 (A+/A1/A) JP1300691M16 TF-S 0,70% 20-12-50 101,300 973200 JPY JP GT n.d.
Jgb 5Yr 146 (A+/A1/A) JP1051461M13 TF-S 0,10% 20-12-25 101,050 2499200 JPY JP GT n.d.
Kbn (AAA/Aaa/---) XS2282405328 TF-S 0,50% 13-01-26 99,631 2000 USD EU GA n.d.
Kfw (AAA/---/AAA) DE000A3H2ZF6 ZC 10-01-31 103,795 5000 EUR DE GA n.d.
Kfw (AAA/---/AAA) XS2281478268 TF-A 0,13% 30-12-26 99,917 1000 GBP EU GA n.d.
Kuntarahoitus (AA+/Aa1/---) XS2289129483 TF-A 0,63% 20-03-26 99,620 1500 USD EU GA n.d.
La Poste (A/---/A+) FR0014001IP3 TF-A 0,63% 18-01-36 99,857 1000 EUR FR GA n.d.
Lkb Bw Forderbnk (AA+/Aaa/AAA) DE000A289CL2 TF-A 0,01% 20-01-31 102,925 1000 EUR DE GA n.d.
Nib (AAA/Aaa/---) XS2284257701 TF-A 0,13% 15-12-26 99,459 600 GBP EU SP n.d.
Niedersachsen (---/---/AAA) DE000A3H3ES2 TF-A 0,01% 10-01-31 103,120 1000 EUR DE GP n.d.
Nrw (AA/Aa1/AAA) DE000NRW0MP9 TF-A 0,95% 10-01-21 98,219 2000 EUR DE GP n.d.
Nwb Bank (AAA/Aaa/---) XS2290332985 TF-A 0,13% 15-02-23 99,799 1000 USD EU GA n.d.
Oat 2/25/24 (AA/Aa2/AA) FR0014001N46 ZC 25-02-24 102,060 3741 EUR FR GT n.d.
Oat 5/25/72 (AA/Aa2/AA) FR0014001NN8 TF-A 0,50% 25-05-72 95,895 7000 EUR FR GT n.d.
Oe 0.1 04-31 (A/Baa1/A-) ES0000012H41 TF-A 0,10% 30-04-31 99,857 10000 EUR ES GT n.d.
Oman (B+/Ba3/BB-) XS2288905370 TF-A 6,25% 25-01-31 100,000 1750 USD EU GT n.d.
Oman (B+/Ba3/BB-) XS2288906857 TF-A 7,00% 25-01-51 96,959 1000 USD EU GT n.d.
Ontario (A+/Aa3/AA-) XS2283226798 TF-A 0,25% 15-12-26 99,507 1750 GBP EU GP n.d.
Rbc (AA-/A2/AA) XS2291788656 TF-A 0,01% 27-01-31 101,389 1250 EUR EU CB n.d.
Rentenbank (AAA/---/AAA) XS2288920502 ZC 19-07-28 103,275 850 EUR EU GA n.d.
Rheinland St (---/---/AAA) DE000RLP1247 TF-A 0,01% 16-01-23 101,206 1000 EUR DE GP Unicredit Bank
Slovenia (AA-/A3/A) SI0002104105 ZC 12-02-31 100,973 1750 EUR SI GT n.d.
Soc Nat Sncf (AA-/Aa3/A+) FR0014001JM8 TF-A 1,00% 19-01-61 98,213 1500 EUR FR GA n.d.
Tcv 0.50 11/25 (AA/---/---) AU3SG0002421 TF-S 0,50% 20-11-25 100,000 2500 AUD AU GA n.d.
Uni Credit (BBB/---/BBB-) XS2289133758 TF-A 0,85% 19-01-31 99,885 1000 EUR EU CB n.d.
Uni Credit (BBB/---/BBB-) XS2289133915 TF-A 0,33% 19-01-26 99,891 1000 EUR EU CB n.d.
United Kingdom (AA/Aa3/AA-) GB00BNNGP775 TF-S 0,88% 31-01-46 100,177 6500 GBP GB GT n.d.
Elaborazione Indici&Numeri - Uff.Studi de Il Sole 24 Ore.
Dati forniti da  vwd group Italia  - Fonte dati: Borsa Italiana e Mercati Internazionali