Obbligazioni corporate - del mese 2019-11
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ISIN | Descrizione | Valuta | Prezzo Min | Prezzo Max | Prezzo Medio | Numero Contratti | Quantità negoziata | Controvalore |
---|---|---|---|---|---|---|---|---|
XS0860855930 | GTECH 3,5% CALL CR PROT 5/3/20 | EUR | ||||||
XS1691781865 | HEINEKEN 1,50% 03/10/29 CALL | EUR | ||||||
XS0911691003 | HEINEKEN 2% 06/04/2021 | EUR | ||||||
XS0976307040 | HERA 3,25% 4/10/2021 | EUR | ||||||
XS0471071133 | HERA 4,50% 03/12/2019 | EUR | ||||||
XS0880764435 | HERA 5,20% 29/1/2028 | EUR | ||||||
US428040CN71 | HERTZ 6,25% 15/10/22 CALL USD | USD | 101,5 | 101,5 | 101,5 | 1 | 4.000 | 3.644,85142 |
US428236BR31 | HP INC 6,00% CALL 15/09/2041 USD | USD | 107,38 | 107,38 | 107,38 | 2 | 16.000 | 15.560,90934 |
XS0856023147 | IBM 1,375% CALL 19/11/2019 | EUR | ||||||
XS0162513211 | INNOGY FIN. 5,75%14/02/33 | EUR | ||||||
XS1511781467 | IREN 0,875% 4/11/2024 | EUR | ||||||
XS1314238459 | IREN 2,75% 2/11/2022 | EUR | ||||||
XS0496716282 | ITALCEMENTI S/UP CR PR 19/03/20 | EUR | ||||||
XS1551917245 | ITALGAS 0,50% 19/1/22 | EUR | ||||||
XS1578294081 | ITALGAS 1,125% 14/3/24 | EUR | ||||||
XS1551917591 | ITALGAS 1,625% 19/1/2027 | EUR | ||||||
XS1551347393 | JAGUAR 2,20% 15/01/2024 | EUR | 91,3 | 91,74 | 91,52 | 2 | 200.000 | 183.040 |
XS1881005976 | JAGUAR 4,50% 15/01/2026 CALL | EUR | ||||||
XS0752092311 | KPN 4,25% 01/03/2022 | EUR | ||||||
XS0677389347 | KPN 4,5% 04/10/2021 | EUR | ||||||
XS0473114543 | LAFARGE 5,50% 16/12/2019 | EUR | ||||||
XS1627782771 | LEONARDO 1,5% 07/06/24 CALL | EUR | ||||||
XS0215093534 | LEONARDO 4,875% 24/3/2025 | EUR | 120,24 | 120,24 | 120,24 | 1 | 50.000 | 60.120 |
XS0458887030 | LEONARDO 5,25% 21/01/2022 | EUR | 110,93 | 110,93 | 110,93 | 1 | 50.000 | 55.465 |
XS1030851791 | LUXOTTICA 2,625% 10/02/2024 | EUR | ||||||
US594918BR43 | MICROSOFT 2,4% 8/8/2026 USD CALL | USD | 101,31 | 101,31 | 101,31 | 1 | 2.000 | 1.829,19563 |
XS0213972614 | NATIONAL GRID 4,375%10/03/2020 | EUR | 101,1 | 101,1 | 101,1 | 1 | 10.000 | 10.110 |
XS0816704125 | PROCTER E GAMBLE 2,00% 16/08/22 | EUR | 106,14 | 106,14 | 106,14 | 1 | 100.000 | 106.140 |
XS1237519571 | RAI 1,50% 28/05/2020 | EUR | ||||||
FR0013250693 | RCI BANQUE 1,625% 11/04/2025 CAL | EUR | ||||||
FR0013240835 | RENAULT 1% 08/03/2023 | EUR | ||||||
FR0011769090 | RENAULT 3,125% CALL 05/3/21 | EUR | ||||||
FR0013250685 | RENAULT TV 12/04/2021 | EUR | ||||||
XS1711584430 | SAIPEM 2,625% 07/01/25 CALL | EUR | ||||||
XS1591523755 | SAIPEM 2,75% 05/04/2022 | EUR | ||||||
XS1487498922 | SAIPEM 3% 8/3/2021 | EUR | ||||||
XS1487495316 | SAIPEM 3,75% 08/9/2023 | EUR | ||||||
FR0011560333 | SANOFI 1,875% 4/9/2020 | EUR | 101 | 101 | 101 | 2 | 200.000 | 202.000 |
XS1555402145 | SNAM 1,25% 25/1/2025 | EUR | ||||||
XS1019326641 | SNAM 3,25% 22/01/24 | EUR | ||||||
XS0914294979 | SNAM 3,375% 29/01/2021 | EUR | ||||||
XS0853682069 | SNAM 3,50% 13/02/2020 | EUR | ||||||
XS0829190585 | SNAM 5,25% 19/09/2022 | EUR | ||||||
XS1684385161 | SOFTBANK 3,125% 19/09/25 CALL | EUR | ||||||
XS1684385591 | SOFTBANK 4,00% 19/09/29 CALL | EUR | ||||||
FR0013245586 | STELLANTIS 2,00% 23/03/2024 CALL | EUR | ||||||
FR0013153707 | STELLANTIS 2,375% 14/4/23 CALL | EUR | 107,25 | 107,25 | 107,25 | 1 | 2.000 | 2.145 |
XS1388625425 | STELLANTIS 3,75% 29/3/2024 | EUR | ||||||
XS1088515207 | STELLANTIS 4,75% 15/07/22 | EUR | ||||||
US31562QAF46 | STELLANTIS 5,25% 15/4/23 CAL USD | USD |