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Elenco delle obbligazioni societarie di France

SG Issuer, 7.5399% 18nov2024, CHF (Structured) (CH1279851682)
BPCE, 4.875% 26feb2036, EUR (2024-13) (FR001400O671)
Credit Agricole CIB, 0.37% 25feb2027, JPY (6222) (XS2559705855)
BNP Paribas, FRN 25jul2028, USD (FR001400JKT9)
BNP Paribas, 0% 8aug2030, GBP (2366D, Structured) (XS2707987645)
Credit Agricole Home Loan SFH, 3% 1dec2030, EUR (92) (FR001400OCT6)
UNEDIC, 0% 7aug2024, EUR (366D) (FR0128148550)
BPCE Master Home Loans, 0.2% 31jan2028, EUR (ABS) (FR001400MWG5)
Orano, 4% 12mar2031, EUR (4) (FR001400OM36)
OPmobility, 4.875% 13mar2029, EUR (FR001400OLD1)
CDC Habitat, FRN 25mar2036, EUR (FR0128428432)
Natixis, 0% 8jul2024, USD (270D, ECP) (US63873JG879)
Tisseo Collectivites, 4% 8apr2039, EUR (FR001400P8C5)
Elo SA, 5.875% 17apr2028, EUR (31) (FR001400PIA0)
SFIL, 5% 26apr2027, USD (FR001400PM50)
BNP Paribas Issuance, 0% 11jun2024, GBP (2185D, Structured) (XS1741924218)
BNP Paribas, 0% 13mar2030, GBP (2184D, Structured) (XS2701357068)
BNP Paribas Issuance, 0% 13may2025, EUR (1099D, Structured) (XS2367933970)
BNP Paribas, 0% 10jul2026, EUR (1096D, Structured) (XS2526293605)
BNP Paribas Issuance, 0% 29dec2025, EUR (2131D, Structured) (XS2082885638)
SG Issuer, 0% 29dec2025, GBP (3645D, Structured) (JE00BYSRJW57)
BNP Paribas Issuance, 4.3% 14oct2030, EUR (Structured) (FR001400J457)
BNP Paribas Issuance, 5.7% 8jan2029, EUR (Structured) (FR001400N9Z6)
BNP Paribas Issuance, FRN 16feb2026, EUR (Structured) (XS2716243105)
Credit Agricole CIB, 0% 3jul2034, INR (6376, 3652D) (XS2559722785)
CCF Holding, 9.25% perp., EUR (FR001400QPA3)
BNP Paribas Issuance, FRN 22mar2027, EUR (Structured) (XS2504162376)
BNP Paribas Issuance, 3.8% 30dec2030, EUR (Structured) (XS2741475714)
SG Issuer, 0% 21oct2026, HUF (1826D, Structured) (XS2347981974)
Societe Generale, 1.234% 19oct2028, JPY (FR001400LGQ9)
SG Issuer, FRN 28mar2025, EUR (Structured) (XS2395073799)
Credit Agricole SA, 3.565% 11dec2030, EUR (701) (FR001400QOX8)
Credit Agricole CIB, 0% 4sep2026, CZK (1096D, Structured) (XS2392770710)
BNP Paribas Issuance, 0% 24may2034, EUR (3683D, Structured) (XS2749339177)
BNP Paribas, FRN 10may2032, EUR (FINTE 16166 CI) (XS2759171254)
Credit Agricole CIB Financial Solutions, 0% 14oct2033, EUR (3651D) (FR2CIBFS0086)
Credit Agricole CIB, 0% 17jun2027, CZK (1095D, Structured) (XS2700548899)
BNP Paribas, 4.7% 27dec2024, EUR (Structured) (XS2442376229)
Societe Generale, 0% 22dec2025, CZK (1096D, Structured) (XS2508413452)
BNP Paribas Issuance, 0% 12jul2029, EUR (1975D, Structured) (FR001400NRI9)
BNP Paribas Issuance, 0% 22dec2025, EUR (1104D, Structured) (FR001400EMF5)
BNP Paribas Issuance, FRN 4jul2028, EUR (Structured) (FR001400IJ62)
SG Issuer, FRN 28jan2030, EUR (Structured) (FR001400DGQ6)
SG Issuer, FRN 31oct2033, EUR (Structured) (FR001400J7S1)
BNP Paribas, 53.5% 4jul2029, EUR (FICRT 15993 AP) (XS2759145928)
BNP Paribas, 0% 15nov2027, EUR (1811D, Structured) (XS2442176306)
BNP Paribas Issuance, FRN 17jun2036, EUR (Structured) (FR001400P7K0)
BNP Paribas Issuance, 0% 7jun2032, EUR (EI6085ABB, 2910D) (FR001400Q7V6)
Credit Agricole SA, FRN 11sep2028, USD (43) (US22536PAM32)
Societe Generale, FRN 11sep2029, USD (284297EN/24.9) (XS2881837087)
BNP Paribas, 0% 26aug2031, GBP (2552D, Structured) (XS2795003776)
Credit Agricole SA, 1.67% 26sep2029, CHF (706) (CH1377443853)
SG Issuer, 7.15% 10jul2029, EUR (Structured) (XS2845755631)
CIC - Credit Industriel et Commercial, 6.8% 1dec2028, EUR (Structured) (XS2704506018)
Schneider Electric, 3% 3sep2030, EUR (38) (FR001400SCY7)
Terega SAS, 4% 17sep2034, EUR (FR001400SGZ5)
APRR, 3.125% 6jan2034, EUR (29) (FR001400P728)
BNP Paribas, 0% 8oct2029, EUR (1864D, Structured) (XS2836192737)
BNP Paribas, 4% 24feb2032, EUR (FR001400CSR1)
Natixis, 4.72% 28jun2027, USD (XS2518297648)
BNP Paribas, FRN 3jan2025, EUR (Structured) (XS1686426443)
Verallia, 3.875% 4nov2032, EUR (FR001400TRD7)
BNP Paribas, 0% 29nov2027, CZK (1103D, Structured) (XS2869882378)
Societe Generale, FRN 5jan2028, EUR (Structured) (XS1706680573)
Societe Generale, 8.125% perp., USD (USF8500RAE20)
BNP Paribas, 3.4% 28dec2028, EUR (FICRT 17456 CI) (XS2828437900)
BNP Paribas, 5.35% 27dec2027, EUR (Structured) (XS2473169733)
BNP Paribas Issuance, 0% 22nov2034, EUR (Structured) (FR001400RIR0)
CDC Habitat, 3.947% 23sep2053, EUR (FR0128769454)
Bureau Veritas, 3.125% 15nov2031, EUR (FR001400TWD7)
BNP Paribas, 0% 20dec2027, CZK (1096D, Structured) (XS2888624199)
BNP Paribas, FRN 30dec2027, EUR (Structured) (XS2443003590)
BNP Paribas, 0% 30jul2029, GBP (2187D, Structured) (XS2126401152)
BNP Paribas Issuance, 0% 25oct2036, EUR (FINTE 17903 CI) (XS2857481357)
BNP Paribas Issuance, FRN 22mar2029, EUR (Structured) (XS2703281720)
BNP Paribas Issuance, 4.06% 27dec2029, EUR (Structured) (XS2866943496)
BNP Paribas Issuance, 4.57% 20jun2027, EUR (Structured) (XS2538975629)
BNP Paribas Issuance, 42% 5jul2029, EUR (Structured) (XS2821133761)
Societe Generale, 6.06% 25jul2039, USD (XS2845902795)
Societe Generale, 0% 8dec2025, EUR (1096D, Structured) (XS2508361123)
Natixis, 0% 24nov2031, EUR (2558D, Structured) (XS2736685194)
BNP Paribas, FRN 8jan2031, EUR (FICRT 13457 MB) (XS2630596620)
BNP Paribas, 6.2% 28mar2025, EUR (Structured) (XS2604970900)
BNP Paribas, 0% 14feb2033, EUR (3653D, Structured) (XS2123768843)
SG Issuer, FRN 11nov2031, USD (Structured) (XS2313854361)
SG Issuer, FRN 20dec2024, EUR (Structured) (XS2042926126)
SG Issuer, 0% 16dec2025, EUR (365D, Structured) (XS2956713510)
AtoS, 5% 18dec2030, EUR (XS2950595087)
Credit Agricole CIB, 3.6% 13feb2026, SGD (6244) (XS2559708289)
Societe Generale, 0% 15oct2026, USD (1774D, Structured) (XS2347672599)
Credit Agricole SA, 0% 9apr2035, EUR (3749D) (FRCASA010613)
BNP Paribas, 6.198% 3dec2036, AUD (A00022) (AU3CB0316099)
Psa Banque France, 3.125% 20jan2028, EUR (10) (FR001400WM69)
SG Issuer, 0% 25oct2027, USD (1085D, Structured) (XS2882102846)
Holding de Infrastructures de Transport S.A.S., 3.375% 21apr2029, EUR (XS2980865658)
BNP Paribas Issuance, 8.8% 5jul2027, SEK (Structured) (SE0018537136)
Credit Agricole CIB, 3.35% 26jun2029, CNY (6417) (XS2559727230)
CDC Habitat, 3.7% 31jan2036, EUR (FR0128958602)
BNP Paribas Issuance, 5.35% 29dec2028, EUR (Structured) (XS2669928827)
SG Issuer, 4.65% 10jan2031, EUR (Structured) (XS2395064020)
La registrazione è richiesta per ottenere l'accesso.