Monday, May 13, 2024 - 14:49

Banking Branded bonds with LP

ISIN
Description
Maturity
Currency
Coupon type
Coupon frequency
Coupon %
Bid yield
Nr. of proposals (bid)
Bid quantity
Bid price
Ask price
Ask quantity
Nr. of proposals (ask)
Ask yield
Var %
Data sheet
IT0005569360C. AGRICOLE ITA 4,00% 30/11/2530/11/2025EURFixed rate3M4.004.289150,00099.59
IT0005536781C. AGRICOLE ITA 4,00% 31/03/2531/03/2025EURFixed rate6M4.004.262110,00099.81
IT0005566101C. AGRICOLE ITA 4,00% 31/10/2531/10/2025EURFixed rate3M4.004.285150,00099.6
IT0005585259CR BZ SPARKASSE 3,50% 28/03/2828/03/2028EURFixed rate6M3.504.8811100,00095.18
IT0005531832CR BZ SPARKASSE 4,00% 28/02/2828/02/2028EURFixed rate6M4.004.9081100,00096.98
IT0005531840CR BZ SPARKASSE TV 28/02/202628/02/2026EURMixed Rate3M4.705.1011100,00099.37
IT0005566713VOLKSBANK 4,25% 10/04/202910/04/2029EURFixed rate6M4.254.224150,000100.11101.2544,00013.966
IT0005571531VOLKSBANK 4,25% 30/05/202930/05/2029EURFixed rate6M4.254.243150,000100.0310110,00014.028
IT0005581266VOLKSBANK TV 05/09/202805/09/2028EURMixed Rate3M5.295.475150,00099.27