Monday, May 20, 2024 - 17:08

Bonds without 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
IT0005119349CHIANTIBANCA 3,00% 18/06/202518/06/2025EURFixed rate6M3.005.22815,00097.798.9618,00013.997
IT0005067142BANCO FIORENTINO 3%10/11/24 166a10/11/2024EURFixed rate6M3.0099.6410,00013.780
IT0005067126BCC PISA e FOR. 3,00% 01/12/2401/12/2024EURFixed rate6M3.0099.5810,00013.816
IT0005059115BCP 3,00% 04/11/202404/11/2024EURFixed rate6M3.00
IT0005056152CHIANTIBANCA 3,00% 01/10/202401/10/2024EURFixed rate3M3.007.313110,00098.49
US88167AAE10TEVA 3,15% 01/10/26 CALL USD01/10/2026USDFixed rate6M3.158.817150,00088.16
IT0005069056BCC PONTASSIEVE 3,20% 1/12/24 8a01/12/2024EURFixed rate3M3.205.96412,00098.6
IT0005256034BCC LAUDENSE S/UP 26/05/27 FGO26/05/2027EURMixed Rate6M3.20
US731011AU68POLONIA 3,25% 06/04/26 USD06/04/2026USDFixed rate6M3.259818,00014.385
IT0005583247CASSA RAVENNA 3,25% 26/2/27 410a26/02/2027EURFixed rate3M3.25
IT0005533622CASSA RAVENNA 3,25% 15/3/30 397a15/03/2030EURFixed rate6M3.25
IT0005530347BANCA DEL VALDARNO 3,25% 23/1/2623/01/2026EURFixed rate6M3.25
IT0005187569BCP 3,25% 09/06/2025 TREM09/06/2025EURFixed rate6M3.255.70313,00097.599.7522,00013.490
IT0005039620BCC PISA e FOR. 3,25% 01/08/2401/08/2024EURFixed rate6M3.2512.84515,00098.1599.765,00014.447
IT0005027344BCC PISA e FOR. 3,25% 01/07/2401/07/2024EURFixed rate6M3.2599.849,00014.655
XS2767499275SNAM GREEN 3,375% 19/02/28 CALL19/02/2028EURFixed rate1Y3.38
XS0501195993ARGENTINA PAR S/UP 31/12/203831/12/2038EURMixed Rate6M3.3816.843125,00039.1639.64209,500216.6470.5873
IT0005587057C.C. RAIFFEISEN 3,45% 26/04/2826/04/2028EURFixed rate1Y3.45
XS1970549561ROMANIA 3,50% 03/04/203403/04/2034EURFixed rate1Y3.50
IT0005561235CASSA RAVENNA 3,50% 28/03/2728/03/2027EURFixed rate6M3.50
IT0005594137BPPB 3,50% 15/05/202715/05/2027EURFixed rate3M3.50
IT0005583031BPPB 3,50% 01/03/202701/03/2027EURFixed rate6M3.50
IT0005579799CASSA RAVENNA 3,50% 15/1/29 CALL15/01/2029EURFixed rate6M3.50
IT0005567992CASSA RAVENNA 3,50% 25/10/2725/10/2027EURFixed rate6M3.50
IT0005542235CASSA RAVENNA 3,50% 26/04/2626/04/2026EURFixed rate6M3.505.71814,0009699.51,00013.770
IT0005504755CASSA RAVENNA 3,50% 15/09/29 SUB15/09/2029EURFixed rate6M3.50
IT0005378937CR. FOSSANO 3,5% 1/8/26 SUB 322a01/08/2026EURFixed rate6M3.50
IT0005247322BCC LAUDENSE S/UP 03/04/27 FGO03/04/2027EURMixed Rate6M3.504.27812,00098.699.425,00013.978
IT0005144206BCC PESCIA S/UP 3/12/25 188a FGO03/12/2025EURMixed Rate6M3.50100.55,00013.485
IT0005083883BCC LEZZENO S/UP 20/02/2520/02/2025EURMixed Rate1Y3.50
IT0005583650C.C. RAIFFEISEN 3,55% 28/03/2928/03/2029EURFixed rate1Y3.55
IT0005514424C. C. RAIFFEISEN S/UP 16/11/2716/11/2027EURMixed Rate1Y3.60
IT0005521031BCC TERRADILAVORO 3,70% 23/11/2723/11/2027EURFixed rate6M3.70
IT0005578312C.C. RAIFFEISEN 3,70% 01/02/2801/02/2028EURFixed rate1Y3.70
IT0005545576BANCO LUCCA 3,75% 29/05/27 45a29/05/2027EURFixed rate6M3.75
IT0005556623C. C. RAIFFEISEN S/UP 25/08/2825/08/2028EURMixed Rate1Y3.80
US91282CHT18T NOTE 3,875% 15/08/2033 USD15/08/2033USDFixed rate6M3.88
IT0005532111BCP 3,90% 06/03/202606/03/2026EURFixed rate6M3.90
IT0005533606CASSA RAVENNA TM 15/03/27 395a15/03/2027EURMixed Rate3M3.904.14712,0009297.92,00011.908
IT0005527814BCP 3,95% 27/01/202627/01/2026EURFixed rate6M3.95
US37045XBQ88GM 4% 6/10/26 USD CALL06/10/2026USDFixed rate6M4.00
IT0005566457BANCA CR SAV 4,0% 01/11/27 218a01/11/2027EURFixed rate6M4.00
IT0005558041BANCA CR SAV 4,0% 01/09/27 217a01/09/2027EURFixed rate6M4.00
IT0005445462B SELLA TF RESET 4/6/31 SUB CALL04/06/2031EURMixed Rate6M4.00
XS2536502227GOLDMAN SACHS 4% 21/09/29 CALL21/09/2029EURFixed rate1Y4.00
IT0005137226BANCA TEMA S/UP 5/10/25 55a05/10/2025EURMixed Rate6M4.00100.411,00014.056
IT0005085607BANCO FIORENTINO S/UP 02/02/202502/02/2025EURMixed Rate6M4.00100.56,00013.274
IT0005068256BCC PESCIA S/UP 1/12/24 179a FGO01/12/2024EURMixed Rate6M4.00
IT0005037749BANCO FIORENTINO 4,00% 7/7/2407/07/2024EURFixed rate6M4.00
XS2630111982BAYER 4,00% 26/08/2026 CALL26/08/2026EURFixed rate1Y4.00103.58100,00012.352