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Ireland: emissioni obbligazionarie

Ireland has twelve benchmark bonds with maturities extending across the yield curve to 2025.

Irish Government bonds are listed and traded on the Irish Stock Exchange. The benchmark bonds are also traded on the electronic trading platforms, EuroMTS (including MTS Ireland), Brokertec and BGC Partners. The clearing and settlement system of Irish Government bonds is carried out by Euroclear.

The NTMA has designed amortising bonds, which make equal annual payments over their lifetime, to meet the needs of the Irish pensions industry.

The Irish Government bond market has a strong primary dealer group, mainly international investment banks with a global reach.

The NTMA’s short-term debt programme, comprising Treasury Bills, Commercial Paper and Exchequer Notes, provides liquidity and flexibility in the timing of long-term funding operations.

Irish Treasury Bills are zero coupon instruments issued at a discount and normally have maturities at issue of between one and twelve months. Treasury Bills are issued primarily through an auction system.

Emissioni di obbligazioni in corso

Valuta Emissioni di obbligazioni in corso Volume complessivo
sovrano
EUR 41 136 479 807 922
corporate
EUR 724 134 459 495 480
USD 243 152 532 599 058
GBP 62 12 763 277 810
RUB 16 223 000 000 000
CHF 9 2 195 000 000
JPY 8 147 170 000 001
EGP 4 1 209 500 000
PLN 2 375 000 000
NOK 2 501 000 000
CAD 2 650 000 000
SEK 1 250 000 000
HKD 1 500 000 000
CNY 1 1 500 000 000
TRY 1 425 000 000
AUD 1 548 500 000
SAR 1 134 370 000

Rating sovrano

AgenziaRatingScala di ratingData
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Scope Ratings *** Issuer Rating ***
Scope Ratings *** Issuer Rating (foreign currency) ***
Scope Ratings *** Senior Unsecured Debt Rating ***
Scope Ratings *** Senior Unsecured Debt Rating (foreign currency) ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Fitch Ratings *** LT Int. Scale (local curr.) ***
Registrazione necessaria. Effettuare l’accesso o compilare il modulo di registrazione.

Ultime emissioni obbligazionarie

Emissione ISIN Cedola volume termine del collocamento data di scadenza
HFMX DAC, 0% 1apr2039, USD (7304D) - Obbligazioni internazionali XS1973722066 0% 20 000 000  USD 09/12/2019 01/04/2039
ALME Loan Funding II DAC, FRN 15jan2031, EUR (2X, ABS) - Obbligazioni internazionali XS2086813206 3M EURIBOR EUR+3.85% 224 000 000  EUR 27/11/2019 15/01/2031
ALME Loan Funding II DAC, FRN 15jan2031, EUR - Obbligazioni internazionali XS2086813974 3M EURIBOR +5.07% 20 600 000  EUR 27/11/2019 15/01/2031
GAS Networks Ireland, 0.125% 4dec2024, EUR - Obbligazioni internazionali XS2088659789 0.125% 300 000 000  EUR 27/11/2019 04/12/2024
HFMX DAC, 0% 25nov2031, USD (4382D) - Obbligazioni internazionali XS2083918958 0% 25 000 000  USD 26/11/2019 25/11/2031
Alphanotes ETP, 8% 31dec2021, USD - Obbligazioni internazionali XS2083925730 8% 5 000 000  USD 25/11/2019 31/12/2021
Ireland, 1.32% 28nov2119, EUR - Obbligazioni internazionali XS2085883382 1.32% 130 000 000  EUR 21/11/2019 28/11/2119
Bank of Ireland Group, 1% 25nov2025, EUR - Obbligazioni internazionali XS2082969655 1% 650 000 000  EUR 18/11/2019 25/11/2025
Bosphorus CLO V, FRN 12dec2032, EUR (ABS) - Obbligazioni internazionali 3M EURIBOR +2.8% 21 000 000  EUR 15/11/2019 12/12/2032
Oak Hill European Credit Partners, FRN 21feb2030, EUR (ABS) - Obbligazioni internazionali XS2081559119 3M EURIBOR +0.72% 260 800 000  EUR 15/11/2019 21/02/2030

Свалка

Indici mensili

Tipo: Oct 2019 Sep 2019 Aug 2019 Jul 2019 Jun 2019 May 2019 Apr 2019
Ireland 10Y Government Bond Yield  0.02 -0.01 -0.05 0.13 0.27 0.50 0.56
mostra altri indici

GDP

Indici annuali

Tipo: 2018 2017 2016 2015 2014
Government debt-to-GDP (Western Europe)
[15237] Government Debt to GDP(Ireland) 63.60 68.00 75.40 93.80 108.00

Historical yields

Indici giornalieri

Tipo: 13/12/2019 12/12/2019 11/12/2019 10/12/2019 09/12/2019 06/12/2019 05/12/2019
10Y Government Bond Yields, Western Europe
[24247] Ireland 10Y YTM -0.010 0.040 -0.014 0.007 0.023 0.052 0.046
mostra altri indici

International bonds outstanding volume

Indici mensili

Tipo: Nov 2019 Oct 2019 Sep 2019 Aug 2019 Jul 2019 Jun 2019 May 2019
DM international bonds outstanding volume
[11345] Ireland corporate international bonds, USD bln 194.690 187.781 175.242 166.323 171.695 167.736 158.601
mostra altri indici

Inflation

Indici mensili

Tipo: Oct 2019 Sep 2019 Aug 2019 Jul 2019 Jun 2019 May 2019 Apr 2019
Inflation (Western Europe)
[15585] Inflation Rate (Ireland) 0.70 0.90 0.70 0.50 1.10 1.00 1.70
mostra altri indici

Euro-Cbonds Corporate

Indici giornalieri

Tipo: 13/12/2019 12/12/2019 11/12/2019 10/12/2019 09/12/2019 06/12/2019 05/12/2019
Euro-Cbonds Corporate Ireland (EUR)
[22805] Euro-Cbonds Corporate Ireland (EUR)  111.44 111.35 111.49 111.38 111.39 111.24 111.22
[22807] Euro-Cbonds Corporate Ireland (EUR) PI 103.54 103.46 103.60 103.50 103.52 103.39 103.37
[22809] Euro-Cbonds Corporate Ireland (EUR) D 2 033.00 2 032.00 2 037.00 2 036.00 2 038.00 2 039.00 2 041.00
[22811] Euro-Cbonds Corporate Ireland (EUR) YTM 0.75 0.76 0.74 0.76 0.76 0.78 0.78
[22813] Euro-Cbonds Corporate Ireland (EUR) YTM eff 0.75 0.76 0.74 0.76 0.76 0.78 0.78
[22815] Euro-Cbonds Corporate Ireland (EUR) T-spread 92.45 92.54 95.27 95.22 95.60 96.22 96.92
mostra altri indici

Quotazioni

obbligazione importo dell' emissione data di scadenza prezzi denaro prezzi lettera
data prezzo denaro rendimento data prezzo lettera rendimento
Aercap Ireland, 3.65% 21jul2027, USD   USD 21/07/2027 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Aercap Ireland, 3.95% 1feb2022, USD   USD 01/02/2022 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Aercap Ireland, 4.125% 3jul2023, USD   USD 03/07/2023 13/12/2019 ***.** *.** 13/12/2019 ***.* *.**
Aercap Ireland, 4.45% 1oct2025, USD   USD 01/10/2025 13/12/2019 ***.* *.** 13/12/2019 ***.** *.**
Aercap Ireland, 4.5% 15may2021, USD   USD 15/05/2021 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
AIB Group, 0.625% 3feb2022, EUR   EUR 03/02/2022 13/12/2019 ***.*** -*.** 13/12/2019 ***.*** -*.**
AIB Group, 1.25% 28may2024, EUR   EUR 28/05/2024 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.*
AIB Group, 1.5% 29mar2023, EUR   EUR 29/03/2023 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
AIB Group, 1.875% 19nov2029, EUR   EUR 19/11/2029 13/12/2019 ***.** * 13/12/2019 ***.** *
AIB Group, 2.25% 26mar2021, EUR   EUR 26/03/2021 13/12/2019 ***.** -*.* 13/12/2019 ***.*** -*.**
AIB Group, 2.25% 3jul2025, EUR   EUR 03/07/2025 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
AIB Mortgage Bank, 0.625% 27jul2020, EUR   EUR 27/07/2020 13/12/2019 ***.* -*.** 13/12/2019 ***.*** -*.**
AIB Mortgage Bank, 0.875% 4feb2023, EUR   EUR 04/02/2023 13/12/2019 ***.*** -*.** 13/12/2019 ***.** -*.**
Allergan, 0.5% 1jun2021, EUR   EUR 01/06/2021 13/12/2019 ***.** *.** 13/12/2019 ***.** -*.**
Allergan, 1.25% 1jun2024, EUR   EUR 01/06/2024 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Allergan, 2.125% 1jun2029, EUR   EUR 01/06/2029 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Allergan, 3% 12mar2020, USD   USD 12/03/2020 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Allergan, 3.45% 15mar2022, USD   USD 15/03/2022 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Allergan, 3.8% 15mar2025, USD   USD 15/03/2025 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Allergan, 4.55% 15mar2035, USD   USD 15/03/2035 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Allergan, 4.75% 15mar2045, USD   USD 15/03/2045 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Allergan, 4.85% 15jun2044, USD   USD 15/06/2044 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
Allied Irish Banks, 1.375% 16mar2020, EUR   EUR 16/03/2020 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
Allied Irish Banks, 12.5% 25jun2035, GBP   GBP 25/06/2035 13/12/2019 **.* **.** 13/12/2019 **.* **.**
Allied Irish Banks, 4.125% 26nov2025, EUR   EUR 26/11/2025 13/12/2019 ***.** * 13/12/2019 ***.** *
Allied Irish Banks, 7.375% perp., EUR   EUR 13/12/2019 ***.** * 13/12/2019 ***.** *
Avolon Holdings, 3.625% 15mar2021, USD   USD 15/03/2021 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Avolon Holdings, 3.625% 1may2022, USD   USD 01/05/2022 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Avolon Holdings, 4.375% 1may2026, USD   USD 01/05/2026 13/12/2019 ***.* *.* 13/12/2019 ***.*** *.**
Avolon Holdings, 4.5% 15mar2023, USD   USD 15/03/2023 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Avolon Holdings, 5.125% 1oct2023, USD   USD 01/10/2023 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Avolon Holdings, 5.25% 15aug2022, USD   USD 15/08/2022 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Avolon Holdings, 5.25% 15may2024, USD   USD 15/05/2024 13/12/2019 ***.** *.** 13/12/2019 *
Ballsbridge Repackaging, FRN perp., EUR   EUR 13/12/2019 *** * 13/12/2019 ***.** *
Bank of Ireland, 1.25% 9apr2020, EUR   EUR 09/04/2020 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
Bank of Ireland, 10% 12feb2020, EUR   EUR 12/02/2020 13/12/2019 ***.*** *.** 13/12/2019 ***.*** -*.**
Bank of Ireland, 10% 19dec2022, EUR   EUR 19/12/2022 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
Bank of Ireland, 2.375% 14oct2029, EUR   EUR 14/10/2029 13/12/2019 ***.* * 13/12/2019 ***.*** *
Bank of Ireland, 7.375% perp., EUR   EUR 13/12/2019 ***.** * 13/12/2019 ***.** *
Bank of Ireland Group, 0.75% 8jul2024, EUR   EUR 08/07/2024 13/12/2019 ***.** * 13/12/2019 ***.** *
Bank of Ireland Group, 1% 25nov2025, EUR   EUR 25/11/2025 13/12/2019 ***.** * 13/12/2019 ***.** *
Bank of Ireland Group, 1.375% 29aug2023, EUR   EUR 29/08/2023 13/12/2019 ***.** *.** 13/12/2019 ***.** *.*
Bank of Ireland Group, 4.125% 19sep2027, USD   USD 19/09/2027 13/12/2019 ***.** * 13/12/2019 ***.** *
Bank of Ireland Group, 4.5% 25nov2023, USD   USD 25/11/2023 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Bank of Ireland Mortgage Bank, 0.375% 7may2022, EUR   EUR 07/05/2022 13/12/2019 ***.*** -*.** 13/12/2019 ***.*** -*.**
Bank of Ireland Mortgage Bank, 0.5% 20jan2020, EUR   EUR 20/01/2020 13/12/2019 ***.** -*.** 13/12/2019 ***.*** -*.**
Bank of Ireland Mortgage Bank, 0.625% 14mar2025, EUR   EUR 14/03/2025 13/12/2019 ***.*** -*.** 13/12/2019 ***.** -*.**
Bank of Ireland Mortgage Bank, 0.625% 19feb2021, EUR   EUR 19/02/2021 13/12/2019 ***.*** -*.** 13/12/2019 ***.** -*.**
Bank of Ireland Mortgage Bank, 3.625% 2oct2020, EUR   EUR 02/10/2020 13/12/2019 ***.** -*.* 13/12/2019 ***.*** -*.**
Caterpillar International Finance Limited, 0.75% 13oct2020, EUR   EUR 13/10/2020 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
CCB Leasing (International) Corporation, 3.5% 16may2024, USD   USD 16/05/2024 13/12/2019 ***.*** * 13/12/2019 ***.*** *.**
CCB Leasing (International) Corporation, 3.875% 16may2029, USD   USD 16/05/2029 13/12/2019 ***.*** *.* 13/12/2019 ***.*** *.**
Cloverie Plc, 6.625% 1sep2042, EUR   EUR 01/09/2042 13/12/2019 ***.** * 13/12/2019 ***.** *
COSMO Pharmaceuticals, 2.5% 5dec2023, EUR   EUR 05/12/2023 13/12/2019 **.* *.** 13/12/2019 **.*** *.**
CRH, 1.375% 18oct2028, EUR   EUR 18/10/2028 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
CRH, 1.375% 30sep2022, CHF   CHF 30/09/2022 13/12/2019 ***.** -*.** 13/12/2019 ***.* -*.**
CRH, 1.875% 9jan2024, EUR   EUR 09/01/2024 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
CRH, 2.75% 15oct2020, EUR   EUR 15/10/2020 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
CRH, 3.125% 3apr2023, EUR   EUR 03/04/2023 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
CRH, 4.125% 2dec2029, GBP   GBP 02/12/2029 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
DAA, 1.554% 7jun2028, EUR   EUR 07/06/2028 13/12/2019 ***.** *.** 13/12/2019 ***.* *.**
Dali Capital Plc, 4.79924% 21dec2037, GBP (ABS)   GBP 21/12/2037 13/12/2019 ***.**** * 13/12/2019 ***.**** *
Dell Bank International, 0.625% 17oct2022, EUR   EUR 17/10/2022 13/12/2019 ***.** *.** 13/12/2019 ***.*** *.**
Demeter, 4.625% perp., USD   USD 13/12/2019 ***.** * 13/12/2019 ***.* *
Demeter, 5.75% 15aug2050, USD   USD 15/08/2050 13/12/2019 ***.** * 13/12/2019 ***.*** *
Depfa Bank, 0% 23jun2020, TRY (5479D)   TRY 23/06/2020 13/12/2019 **.** **.** 13/12/2019 **.* **.**
Depfa Bank, 3.25% 31jul2031, CHF   CHF 31/07/2031 13/12/2019 ***.** *.* 13/12/2019 ***.* *.**
Depfa Bank, 5.125% 16mar2037, USD   USD 16/03/2037 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Eaton Capital Unlimited, 0.021% 14may2021, EUR   EUR 14/05/2021 13/12/2019 ***.** -*.** 13/12/2019 ***.* -*.**
Eaton Capital Unlimited, 0.697% 14may2025, EUR   EUR 14/05/2025 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
eircom Group, 1.75% 1nov2024, EUR   EUR 01/11/2024 13/12/2019 **.*** *.** 13/12/2019 ***.*** *.**
eircom Group, 2.625% 15feb2027, EUR   EUR 15/02/2027 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
eircom Group, 3.5% 15may2026, EUR   EUR 15/05/2026 13/12/2019 ***.*** *.* 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 1.125% 11jun2030, EUR   EUR 11/06/2030 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 1.75% 7feb2029, EUR   EUR 07/02/2029 13/12/2019 ***.* *.** 13/12/2019 ***.* *.**
Electricity Supply Board (ESB), 1.875% 14jun2031, EUR   EUR 14/06/2031 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 2.125% 5nov2033, EUR   EUR 05/11/2033 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 2.125% 8jun2027, EUR   EUR 08/06/2027 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 3.494% 12jan2024, EUR   EUR 12/01/2024 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Electricity Supply Board (ESB), 6.5% 5mar2020, GBP   GBP 05/03/2020 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Experian, 1.375% 25jun2026, EUR   EUR 25/06/2026 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
Experian, 3.5% 15oct2021, GBP   GBP 15/10/2021 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
Experian, 4.75% 4feb2020, EUR   EUR 04/02/2020 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
FGA Capital Ireland, 1.25% 21jan2021, EUR   EUR 21/01/2021 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
FGA Capital Ireland, 1.25% 23sep2020, EUR   EUR 23/09/2020 13/12/2019 ***.*** -*.** 13/12/2019 ***.** -*.**
FGA Capital Ireland, 1.375% 17apr2020   EUR 17/04/2020 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
Freshwater Finance, 4.607% 17oct2036, GBP (ABS)   GBP 17/10/2036 13/12/2019 ***.**** * 13/12/2019 ***.*** *
Freshwater Finance, 5.182% 20apr2035, GBP (ABS)   GBP 20/04/2035 13/12/2019 ***.**** * 13/12/2019 ***.**** *
GAS Networks Ireland, 0.125% 4dec2024, EUR   EUR 04/12/2024 13/12/2019 **.** *.** 13/12/2019 **.** *.**
GAS Networks Ireland, 1.375% 5dec2026, EUR   EUR 05/12/2026 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
GAS Networks Ireland, 2.25% 5dec2036, EUR   EUR 05/12/2036 13/12/2019 ***.** *.* 13/12/2019 ***.* *.**
GE Capital International Funding Company, 3.373% 15nov2025, USD   USD 15/11/2025 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
GE Capital UK Funding, 4.125% 13sep2023, GBP   GBP 13/09/2023 13/12/2019 *** *.* 13/12/2019 ***.** *.*
GE Capital UK Funding, 6.25% 5may2038, GBP   GBP 05/05/2038 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
GE Capital UK Funding, 8% 14jan2039, GBP   GBP 14/01/2039 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
German Postal Pensions Securitisation, 3.75% 18jan2021, EUR   EUR 18/01/2021 13/12/2019 ***.** * 13/12/2019 ***.** *
German Postal Pensions Securitisation, 4.375% 18jan2022, EUR (ABS)   EUR 18/01/2022 13/12/2019 ***.*** * 13/12/2019 ***.** *
Grenke Finance, 1.375% 5oct2020, EUR   EUR 05/10/2020 13/12/2019 ***.** *.** 13/12/2019 ***.*** -*.**
Grenke Finance, 1.5% 9apr2021, EUR   EUR 09/04/2021 13/12/2019 ***.* *.** 13/12/2019 ***.** *.**
Johnson Controls International, 0% 4dec2020, EUR (1096D)   EUR 04/12/2020 13/12/2019 **.*** *.* 13/12/2019 ***.*** -*.**
Johnson Controls International, 1% 15sep2023, EUR   EUR 15/09/2023 13/12/2019 ***.** *.** 13/12/2019 ***.*** *.**
Johnson Controls International, 3.9% 14feb2026, USD   USD 14/02/2026 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.*
Johnson Controls International, 4.5% 15feb2047, USD   USD 15/02/2047 13/12/2019 ***.* *.** 13/12/2019 ***.*** *.**
Johnson Controls International, 5.125% 14sep2045, USD   USD 14/09/2045 13/12/2019 ***.* *.** 13/12/2019 ***.** *.**
Kerry Group, 0.625% 20sep2029, EUR   EUR 20/09/2029 13/12/2019 **.** *.** 13/12/2019 **.* *.**
Kerry Group, 2.375% 10sep2025, EUR   EUR 10/09/2025 13/12/2019 ***.* *.** 13/12/2019 ***.*** *.*
Medtronic Plc, 0% 2dec2022, EUR (1249D)   EUR 02/12/2022 13/12/2019 ***.** -*.** 13/12/2019 ***.*** -*.**
Medtronic Plc, 0% 7mar2021, EUR (731D)   EUR 07/03/2021 13/12/2019 ***.*** -*.** 13/12/2019 ***.*** -*.**
Medtronic Plc, 0.25% 2jul2025, EUR   EUR 02/07/2025 13/12/2019 ***.** *.** 13/12/2019 ***.*** *.**
Medtronic Plc, 0.375% 7mar2023, EUR   EUR 07/03/2023 13/12/2019 ***.** * 13/12/2019 ***.*** -*.**
Medtronic Plc, 1% 2jul2031, EUR   EUR 02/07/2031 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
Medtronic Plc, 1.125% 7mar2027, EUR   EUR 07/03/2027 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Medtronic Plc, 1.5% 2jul2039, EUR   EUR 02/07/2039 13/12/2019 ***.** *.** 13/12/2019 ***.* *.**
Medtronic Plc, 1.625% 7mar2031, EUR   EUR 07/03/2031 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Medtronic Plc, 1.75% 2jul2049, EUR   EUR 02/07/2049 13/12/2019 **.* *.** 13/12/2019 **.** *.**
Medtronic Plc, 2.25% 7mar2039, EUR   EUR 07/03/2039 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Medtronic Plc, FRN 7mar2021, EUR   EUR 07/03/2021 13/12/2019 ***.*** * 13/12/2019 ***.*** *
Motion Bondco, 4.5% 15nov2027, EUR   EUR 15/11/2027 13/12/2019 ***.** *.** 13/12/2019 ***.** *.*
N25 New Ross, 2.684% 31jan2042, EUR   EUR 31/01/2042 13/12/2019 **.** *.** 13/12/2019 ***.** *.*
Permanent TSB Group Holdings, 2.125% 26sep2024, EUR   EUR 26/09/2024 13/12/2019 ***.** * 13/12/2019 ***.** *
Permanent TSB Group Holdings, 8.625% perp., EUR   EUR 13/12/2019 ***.* * 13/12/2019 ***.** *
Ryanair, 1.125% 10mar2023, EUR   EUR 10/03/2023 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Ryanair, 1.125% 15aug2023, EUR   EUR 15/08/2023 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Ryanair, 1.875% 17jun2021, EUR   EUR 17/06/2021 13/12/2019 ***.** -*.** 13/12/2019 ***.** -*.**
Saderea Limited, 12.5% 30nov2026, USD   USD 30/11/2026 13/12/2019 *** *.** 13/12/2019 *** *.**
Silverback, 3.1261%2037, EUR   EUR 25/02/2037 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Silverback, 3.7529%2039, EUR   EUR 25/05/2039 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
SMBC Aviation Capital, 4.125% 15jul2023, USD   USD 15/07/2023 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Smurfit Kappa Acquisitions, 2.375% 1feb2024, EUR   EUR 01/02/2024 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Smurfit Kappa Acquisitions, 2.875% 15jan2026, EUR   EUR 15/01/2026 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Smurfit Kappa Funding, 2.75% 1feb2025, EUR   EUR 01/02/2025 13/12/2019 ***.*** *.** 13/12/2019 ***.*** *.**
Smurfit Kappa Group, 1.5% 15sep2027, EUR   EUR 15/09/2027 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
TRANSALP 1 SECURITIES, 7% 31aug2022, EUR   EUR 31/08/2022 13/12/2019 ***.* * 13/12/2019 ***.* *
Transmission Finance Dac, 1.5% 24may2023, EUR   EUR 24/05/2023 13/12/2019 ***.** *.** 13/12/2019 ***.* *.**
UniCredit Bank Ireland, 0% 5oct2022, EUR (2191D)   EUR 05/10/2022 13/12/2019 **.** *.** 13/12/2019 **.** *.**
UniCredit Bank Ireland, 0.8% 13jun2023, EUR   EUR 13/06/2023 13/12/2019 ***.** *.* 13/12/2019 ***.** *.**
UniCredit Bank Ireland, 1% 1jul2020, EUR   EUR 01/07/2020 13/12/2019 ***.** *.** 13/12/2019 ***.** -*.**
UniCredit Bank Ireland, 2% 30dec2019, EUR   EUR 30/12/2019 13/12/2019 **.** *.** 13/12/2019 ***.** -**.**
Virgin Media Receivables Financing Notes I, 5.75% 15apr2023, GBP   GBP 15/04/2023 13/12/2019 ***.** *.* 13/12/2019 ***.*** *.**
Willow №2 (Ireland) Plc, 3.375% 27jun2022, EUR   EUR 27/06/2022 13/12/2019 ***.* *.** 13/12/2019 ***.** -*.**
XL Group, 3.25% 29jun2047, EUR   EUR 29/06/2047 13/12/2019 ***.*** * 13/12/2019 ***.* *
XL Group, 4.45% 31mar2025, USD   USD 31/03/2025 13/12/2019 ***.*** *.** 13/12/2019 ***.** *.**
XL Group, 5.5% 31mar2045, USD   USD 31/03/2045 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
Zurich Finance (Ireland), 1.625% 17jun2039, EUR   EUR 17/06/2039 13/12/2019 ***.** *.** 13/12/2019 ***.** *.**
*
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minimizzaespandi
CBONDS È UNA PIATTAFORMA DI DATI OBBLIGAZIONARI GLOBALE
  • Cbonds è una piattaforma di ricerca e analisi del mercato obbligazionario internazionale
  • La copertura è di oltre 170 paesi e 250.000 emissioni.
  • I dati si possono ricevere attraverso il sito web, l’excel add-in, API e la Mobile App di Cbonds
  • Strumenti analitici: Ricerca obbligazionaria multi-parametro, Watch list, Curve di rendimento e molte altre
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