Mercoledì, Maggio 8, 2024 - 09:34

Obbligazioni senza LP

ISIN
Descrizione
Scadenza
Valuta
Tipo Cedola
Info Cedola
Cedola %
Rend. Acquisto
No. proposte (in acquisto)
Q.tà Acquisto
Prezzo Acquisto
Prezzo Vendita
Q.tà Vendita
No. proposte (in vendita)
Rend. Vendita
Var %
Scheda
IT0005419814BCC BUSTO GeB S/UP 07/09/202407/09/2024EURMixed Rate6M1,008,873110.00097,599,920.00011,306
IT0005372898BCC BUSTO GeB S/UP 20/05/2420/05/2024EURMixed Rate6M2,5029,672110.00099,2599,9234.00015,353
IT0005396301BCC BUSTO GeB S/UP 30/12/202430/12/2024EURMixed Rate6M2,006,469110.00097,2698,9912.00023,621
IT0005283152BCC CARATE TV 02/10/24 FGO02/10/2024EURMixed Rate6M4,86
IT0005327132BCC CARATE TV 20/03/2025 FGO20/03/2025EURMixed Rate6M4,92
IT0005402562BCC COLLI ALBANI S/UP 15/05/2515/05/2025EURMixed Rate6M1,40
IT0005022295BCC CRAS 3,00% 12/5/24 1a FGO12/05/2024EURFixed rate6M3,00
IT0005346967BCC CRAS TM 08/10/2025 15a08/10/2025EURMixed Rate6M4,10
IT0005332116BCC CRAS TM 10/05/25 8a FGO10/05/2025EURMixed Rate6M
IT0005336844BCC CRAS TM 18/06/25 12a18/06/2025EURMixed Rate6M4,20
IT0005355711BCC CRAS TM 20/12/2025 18a20/12/2025EURMixed Rate6M4,20
IT0005366411BCC CRAS TM 22/03/26 3a22/03/2026EURMixed Rate6M4,20
IT0005377095BCC CRAS TM 25/06/24 5a25/06/2024EURMixed Rate6M4,10
IT0005377103BCC CRAS TM 25/06/26 6a25/06/2026EURMixed Rate6M4,20
IT0005321598BCC CRAS TM 26/01/25 3a FGO26/01/2025EURMixed Rate6M4,20
IT0005321614BCC CRAS TM 26/01/28 4a FGO26/01/2028EURMixed Rate6M4,20
IT0005091647BCC CREDIFRIULI 1,85%16/3/25 22216/03/2025EURFixed rate1Y1,85
IT0005256042BCC LAUDENSE 2,58% 26/05/27 FGO26/05/2027EURFixed rate6M2,58
IT0004712946BCC LAUDENSE 5,05% 11/04/26 FGO11/04/2026EURFixed rate6M5,05
IT0004680036BCC LAUDENSE 5,05% 20/01/2620/01/2026EURFixed rate6M5,05
IT0005247322BCC LAUDENSE S/UP 03/04/27 FGO03/04/2027EURMixed Rate6M3,5099,42.00013,973
IT0005239774BCC LAUDENSE S/UP 16/01/25 FGO16/01/2025EURMixed Rate6M2,505,432120.00098,0798,8220.00014,280
IT0005055311BCC LAUDENSE S/UP 22/09/24 FGO22/09/2024EURMixed Rate3M4,505,762120.00099,55100,335.00013,677
IT0005093023BCC LAUDENSE S/UP 24/03/25 FGO24/03/2025EURMixed Rate6M2,7599,6713.00013,152
IT0005256034BCC LAUDENSE S/UP 26/05/27 FGO26/05/2027EURMixed Rate6M3,20
IT0005083883BCC LEZZENO S/UP 20/02/2520/02/2025EURMixed Rate1Y3,50
IT0005126252BCC PACHINO 2,50% 26/10/2526/10/2025EURFixed rate6M2,50
IT0005421554BCC PESCIA CASCINA S/UP 14/09/2514/09/2025EURMixed Rate6M1,0096,274.00014,251
IT0005394512BCC PESCIA CASCINA S/UP 16/12/2416/12/2024EURMixed Rate6M2,009920.00013,702
IT0005385833BCC PESCIA CASCINA S/UP 30/09/2430/09/2024EURMixed Rate6M2,007,50415.00097,92
IT0005068256BCC PESCIA S/UP 1/12/24 179a FGO01/12/2024EURMixed Rate6M4,00
IT0005376055BCC PESCIA S/UP 10/06/2024 218a10/06/2024EURMixed Rate6M3,00100,12.00011,795
IT0005279929BCC PESCIA S/UP 14/9/24 205a FGO14/09/2024EURMixed Rate6M2,507,826110.00098,299,640.00023,660
IT0005257297BCC PESCIA S/UP 20/6/24 202aFGO20/06/2024EURMixed Rate6M2,50100,2515.00010,265
IT0005144206BCC PESCIA S/UP 3/12/25 188a FGO03/12/2025EURMixed Rate6M3,50100,55.00013,484
IT0005037699BCC PESCIA S/UP 4/8/24 176a FGO04/08/2024EURMixed Rate6M5,00100,1934.00014,134
IT0005095184BCC PISA e FOR. 2,50% 05/05/2505/05/2025EURFixed rate6M2,5098,795.00013,795
IT0005086944BCC PISA e FOR. 2,75% 05/03/2505/03/2025EURFixed rate6M2,759,349115.0009599,27.00013,769
IT0005067126BCC PISA e FOR. 3,00% 01/12/2401/12/2024EURFixed rate6M3,0099,5810.00013,769
IT0005045866BCC PISA e FOR. 3,00% 25/09/2425/09/2024EURFixed rate6M3,0099,756.00013,662
IT0005135485BCC PISA e FOR. 3,00% 25/09/2525/09/2025EURFixed rate6M3,0098,982.00013,766
IT0005027344BCC PISA e FOR. 3,25% 01/07/2401/07/2024EURFixed rate6M3,2599,8811.00024,048
IT0005039620BCC PISA e FOR. 3,25% 01/08/2401/08/2024EURFixed rate6M3,2599,765.00014,275
IT0005122368BCC PISA e FOR. 5% 25/09/25 SUB25/09/2025EURFixed rate6M5,005,485110.00099,36100,075.00014,942
IT0003925853BCC PISTOIA ZC PUT 17/10/30 38a17/10/2030EURZero Coupon-
IT0003994446BCC PISTOIA ZC PUT 31/1/31 45a31/01/2031EURZero Coupon-
IT0005423055BCC PONTASSIEVE 0,85%12/10/24 3a12/10/2024EURFixed rate6M0,85
IT0005143679BCC PONTASSIEVE 2,3% 16/11/25 7a16/11/2025EURFixed rate6M2,30
IT0005158263BCC PONTASSIEVE 2,3%31/10/25 10a31/10/2025EURFixed rate6M2,30
IT0005069056BCC PONTASSIEVE 3,20% 1/12/24 8a01/12/2024EURFixed rate3M3,20