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Elenco delle obbligazioni societarie di France

Societe Generale, 0% 13feb2026, USD (2555D, Structured) (XS1907381328)
Societe Generale, FRN 12dec2025, USD (Structured) (XS1893983103)
Societe Generale, 0% 27jan2025, USD (2562D, Structured) (XS1718904383)
Societe Generale, 0% 16oct2023, USD (1827D, Structured) (XS1864811515)
Societe Generale, 0% 14jan2026, USD (2548D, Structured) (XS1893798626)
Societe Generale, 0% 28oct2022, USD (1386D, Structured) (XS1893855798)
Societe Generale, 0% 13nov2023, USD (1775D, Structured) (XS1893876794)
Natixis, 0% 24dec2026, RUB (1758D, Structured) (XS2321036043)
Societe Generale, 0% 12aug2024, USD (1774D, Structured) (XS2027818967)
Natixis, 0% 14jun2027, USD (2555D, Structured) (XS2023993715)
Natixis, 0% 13nov2026, USD (1824D, Structured) (XS2299924816)
Natixis, 0% 13sep2024, USD (1094D, Structured) (XS2296937787)
SG Issuer, 0% 6mar2023, USD (1102D, Structured) (XS2112399568)
SG Issuer, 0% 14aug2023, EUR (1099D, Structured) (XS2174543103)
Kering, 1.25% 5may2025, EUR (FR001400A5N5)
SG Issuer, 2.1% 16may2034, EUR (151158FR/22.3) (FR0014008H96)
SG Issuer, FRN 14jan2025, USD (Structured) (XS2378895176)
SG Issuer, 2.81% 11nov2024, RUB (Structured) (XS2379017895)
BNP Paribas Issuance, 0% 5may2027, EUR (EI1338JES, 1812D) (FR001400A1S3)
SG Issuer, 0% 8mar2032, EUR (151073FR/22.2, 3681D) (FR00140085Y2)
SG Issuer, 5.3% 10jul2024, EUR (146640FR/19.8) (FR0013431293)
SG Issuer, 0% 8dec2026, EUR (150225FR/21.9, 1924D) (FR0014004TA6)
Credit Agricole CIB Financial Solutions, 0% 25mar2031, EUR (2398, 3646D) (FR9348FS4155)
SG Issuer, 0% 7feb2034, EUR (150570FR/21.11, 4460D) (FR0014006AX3)
Societe Generale, 4.351% 13jun2025, USD (30) (US83368TBN72)
SG Issuer, FRN 16jun2032, EUR (CH1166032230)
Monnoyeur, 2.6% 4oct2029, EUR (FR0014004UD8)
Societe Generale, 4.45% 6jul2042, EUR (243019EN/22.7) (XS2476493791)
Credit Agricole CIB, 3.1% 28apr2041, AUD (S5204) (XS2185423956)
BNP Paribas, 5.25% 12jul2032, SGD (19809, Conv.) (FR001400BLE6)
ORPEA, 2% 9aug2029, EUR (FR0014004Y16)
Credit Agricole CIB Financial Solutions, 0% 24jun2027, EUR (3063, 1812D) (FR9349FS1325)
Credit Agricole CIB Financial Solutions, FRN 30jun2023, EUR (Structured) (XS1782022518)
Credit Agricole CIB Financial Solutions, FRN 22jul2025, SEK (XS1803946307)
SG Issuer, 0% 12may2025, EUR (3675D, Structured) (FR0012581197)
SG Issuer, 0% 16jan2026, EUR (3781D, Structured) (FR0012857555)
SG Issuer, 4.66% 10jul2025, EUR (Structured) (FR0012979490)
SG Issuer, 0% 13apr2026, EUR (3752D, Structured) (FR0012993111)
Credit Agricole CIB Financial Solutions, 0% 12apr2030, EUR (2924, 2922D) (FR9348FS9089)
Natixis, 0% 3mar2032, EUR (1124, 3652D) (FR00140084U3)
BNP Paribas Issuance, 0% 14oct2031, EUR (EI753ROP, 3756D) (FR0014004891)
SG Issuer, 0% 10jan2029, EUR (3729D, Structured) (FR0013373966)
BNP Paribas Issuance, 0% 8jun2027, USD (EI2306EAG, 1824D) (FR001400AUJ8)
SG Issuer, 0% 22jul2027, EUR (2906D, Structured) (FR0013435187)
Societe Generale, 0% 18jan2023, EUR (189D, Structured) (XS2476521757)
BNP Paribas Issuance, FRN 26jul2027, EUR (EI1292JES) (FR0014008LR8)
La Poste, 3.125% 14mar2033, EUR (25) (FR001400CN54)
SG Issuer, FRN 10jan2025, EUR (Structured) (FR0013459666)
BNP Paribas Issuance, FRN 3may2027, EUR (EI5666ARL) (FR0014009ZT2)
Societe Generale, 4.75% 26sep2027, USD (XS2508093528)
SG Issuer, 7% 18sep2028, EUR (Structured) (FR0013487576)
Credit Agricole CIB, 3.52% 9sep2032, EUR (XS2317970924)
Natixis, 5.5% 18oct2042, USD (XS2426674847)
Credit Agricole SA, 4.185% 8jul2026, HKD (632) (FR001400BJE0)
Agence Francaise de Developpement, 2.101% 28jun2027, EUR (151) (FR001400BB91)
Action Logement Services, 3.125% 28sep2037, EUR (FR001400CWI2)
Credit Agricole CIB, 10.15% 5feb2025, TRY (4518) (XS1885970506)
AXA, 3.75% 12oct2030, EUR (46) (XS2537251170)
La Banque Postale, 3% 7oct2027, EUR (S - 90) (FR001400D5M4)
Societe Generale SFH, 3% 28oct2025, EUR (FR001400DHZ5)
Orange, 3.625% 16nov2031, EUR (171) (FR001400DY43)
SG Issuer, 4.5% 12jul2032, EUR (151836FR/22.6) (FR001400AMD8)
BNP Paribas Issuance, 0% 12nov2027, EUR (EI289RAZ, 1946D) (FR001400B892)
Air France-KLM, 6.5% perp., EUR (Conv.) (FR001400DU47)
Tikehau Capital Partners, FRN 25oct2034, EUR (8X, ABS, A) (XS2553539938)
SG Issuer, 5% 28dec2032, EUR (152158FR/22.9) (FR001400BMJ3)
BNP Paribas Issuance, FRN 20oct2027, EUR (EI3442EAG) (FR001400D963)
Caisse Francaise de Financement Local, 2.893% 13dec2038, EUR (2022-12) (FR001400EI59)
SG Issuer, FRN 10jan2029, EUR (151246FR/22.3) (FR0014008TS9)
SG Issuer, FRN 17aug2034, EUR (Structured) (FR00140091Y0)
Societe Generale, 4% 11jan2027, USD (Structured) (CH1125198064)
BNP Paribas Issuance, 3% 30nov2026, EUR (XS2442400896)
BNP Paribas Issuance, FRN 2jun2027, EUR (EI0978ACD) (FR0014009RP7)
BPCE SFH, 2.6% 16sep2027, EUR (161) (FR001400EJQ8)
Societe Generale, 4.34% 12jan2028, USD (XS2558079609)
SG Issuer, FRN 7nov2033, EUR (150419FR/21.10) (FR0014005RT7)
SG Issuer, FRN 21jun2032, EUR (Structured) (FRSG00012QV7)
Societe Generale, 6.447% 12jan2027, USD (US83368TBQ04)
SG Issuer, 0% 20dec2023, EUR (737D, Structured) (FR0014006ZP6)
BPCE, 5.125% 18jan2028, USD (US05578BAY20)
Air France-KLM, 7.25% 31may2026, EUR (EMTN) (FR001400F2Q0)
RCI Banque, 4.625% 13jul2026, EUR (334) (FR001400F0U6)
Holding de Infrastructures de Transport S.A.S., 4.25% 18mar2030, EUR (XS2577384691)
Banque Federative du Credit Mutuel, 4% 26jan2033, EUR (551) (FR001400FBR0)
BNP Paribas, 4.375% 13jan2029, EUR (19911) (FR001400DCZ6)
SFIL, 2.875% 18jan2028, EUR (SFIL 2023 EMTN 1) (FR001400F7D7)
Credit Agricole SA, 4% 18jan2033, EUR (654) (FR001400F7K2)
SG Issuer, 0.65% 30dec2030, EUR (DE000ST0A5L2)
Credit Agricole CIB, 4.55% 23feb2025, AUD (XS2395310837)
Agence France Locale (AFL), 4.707% 10feb2025, USD (33) (FR001400FSD4)
SG Issuer, 10.8% 5jul2032, EUR (Structured) (FRSG00012Q61)
Autonoria DE 2023, FRN 26jan2043, EUR (ABS, B) (FR001400FVE6)
BNP Paribas, 3.5% 31jan2027, EUR (XS2299521026)
Credit Agricole Home Loan SFH, 3.25% 28sep2032, EUR (85) (FR001400G5Z3)
BNP Paribas Issuance, 0% 13may2026, NOK (1828D, Structured) (NO0010969132)
Banque Federative du Credit Mutuel, 0.938% 13oct2027, JPY (39) (JP525020BNA9)
ABRA, 5% 2mar2028, USD (USG00912AA64)
BNP Paribas Issuance, FRN 28aug2024, EUR (XS2479720216)
BNP Paribas Issuance, 4.2% 27dec2024, EUR (Structured) (XS2442558842)
Council of Europe Development Bank, 27.5% 6mar2028, TRY (440) (XS2592839810)
La registrazione è richiesta per ottenere l'accesso.