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Elenco delle obbligazioni societarie di France

Credit Agricole CIB, 4.095% 16nov2036, EUR (XS2317976533)
Societe Generale, 6.53% 11may2038, AUD (255102EN/23.5) (XS2593368728)
Credit Agricole CIB, FRN 20may2031, USD (Structured) (XS2185425068)
BNP Paribas Issuance, FRN 20dec2029, EUR (Structured) (XS2049208189)
BNP Paribas, 0% 14may2025, SEK (1826D, Structured) (SE0013888054)
SG Issuer, FRN 22dec2027, EUR (Structured) (XS1669662642)
BNP Paribas Issuance, FRN 25oct2024, EUR (Structured) (XS2503715430)
Natixis, 0% 2oct2025, SEK (1827D, Structured) (SE0014557674)
Societe Generale, 0% 3nov2025, SEK (1831D, Structured) (SE0014781910)
BNP Paribas Issuance, FRN 11jul2025, EUR (Structured) (XS2392624735)
BNP Paribas, 0% 7oct2024, USD (1097D, Structured) (XS2310435198)
Societe Generale, 4.125% 2jun2027, EUR (FR001400IDW0)
La Poste, 3.75% 12jun2030, EUR (27) (FR001400IIR9)
BNP Paribas Issuance, FRN 31may2025, EUR (XS2504167417)
Societe Generale, 1.5% 12aug2025, EUR (Structured) (XS2476539882)
BNP Paribas, 0% 16mar2026, EUR (1076D, Structured) (XS2484625582)
Caisse de Refinancement, 3.375% 28jun2032, EUR (FR001400IUM5)
SAGESS, 3.375% 29jun2030, EUR (FR001400IWZ3)
SG Issuer, FRN 25may2023, EUR (Structured) (FR001400DZK9)
IDF Mobilites, 3.7% 14jun2038, EUR (FR001400IKC7)
BNP Paribas Issuance, FRN 31dec2027, EUR (Structured) (XS2440505142)
BNP Paribas Issuance, 0% 15apr2030, EUR (3653D, Structured) (XS2053631227)
Societe Generale SFH, 3.625% 31jul2026, EUR (FR001400JHR9)
Credit Agricole SA, 3.75% 27jul2033, EUR (FRCASA010142)
Societe Generale, 3.95% 27jun2028, EUR (Structured) (XS2395035517)
BNP Paribas, 6% 18aug2029, GBP (20014) (FR001400I7U8)
BNP Paribas Issuance, 0% 11feb2028, USD (2556D, Structured) (XS2235688236)
BNP Paribas, 0% 30nov2029, GBP (2368D, Structured) (XS2515124266)
SG Issuer, FRN 15nov2023, EUR (Structured) (XS2027878607)
Banque Federative du Credit Mutuel, FRN 8sep2025, EUR (FR001400KKW1)
BNP Paribas, 7.14% 29sep2026, INR (XS2676325371)
SG Issuer, FRN 2jan2026, EUR (Structured) (XS2558055849)
RCI Banque, 4.625% 2oct2026, EUR (338) (FR001400KXW4)
SG Issuer, 0% 26feb2027, EUR (2191D, Structured) (XS2236092362)
AYVENS S.A., 4.875% 6oct2028, EUR (FR001400L4V8)
BNP Paribas Issuance, 4.4% 4jan2024, EUR (Structured) (XS1554307881)
SG Issuer, 0% 2jun2028, RON (1709D, Structured) (XS2659495332)
BNP Paribas, 0% 5may2025, EUR (1098D, Structured) (XS2468951392)
Valeo, 5.875% 12apr2029, EUR (14) (FR001400L9Q7)
BNP Paribas Issuance, 11.35% 5jul2027, EUR (Structured) (XS2380308200)
BNP Paribas, 0% 14oct2030, GBP (2551D, Structured) (XS2584314640)
SG Issuer, 0% 16feb2024, EUR (000M, 549D) (CH1166038203)
BNP Paribas, 4.15% 22sep2029, CNY (FR001400KTY8)
BNP Paribas Issuance, 8.7% 8jan2029, EUR (13580 CI) (XS2630646748)
Societe Generale, 0% 29jun2028, GBP (3646D, Structured) (GB00BF9B5K32)
Societe Generale, 0% 12apr2027, GBP (2922D, Structured) (GB00BFRNHS34)
Societe Generale, 0% 20nov2030, GBP (3645D, Structured) (GB00BG8HKQ05)
Societe Generale, 0% 26jun2030, GBP (3645D, Structured) (GB00BG8HM538)
Societe Generale, 0% 25mar2026, GBP (1819D, Structured) (GB00BKG6YP41)
Societe Generale, 0% 23apr2031, GBP (3645D, Structured) (GB00BKG6YV01)
Societe Generale, 0% 29jul2032, GBP (3646D, Structured) (GB00BN08WH53)
Societe Generale, FRN 3apr2029, EUR (Structured) (FI4000549266)
BNP Paribas Issuance, FRN 4jul2033, EUR (Structured) (XS2272967717)
Credit Agricole CIB Financial Solutions, 3.2% 26feb2031, EUR (9641) (XS2638703103)
BNP Paribas, 8.5% 4jan2028, SEK (Structured) (SE0019760844)
BNP Paribas, 7.1% 4jul2028, SEK (Structured) (SE0020540599)
Societe Generale, FRN 19jan2026, EUR (FR001400N9V5)
Societe Generale, 3.4% 17jan2027, CNY (HK0000985140)
Council of Europe Development Bank, 3.7% 17jan2029, NOK (452) (XS2750331030)
Credit Agricole SA, 3.3% 31jan2034, EUR (FRCASA010290)
Orpar, 2% 7feb2031, EUR (Conv.) (FR001400NF10)
Banque Federative du Credit Mutuel, 0% 20nov2024, EUR (365D) (FR0128327543)
SG Issuer, FRN 25sep2026, EUR (Structured) (XS2746156996)
Credit Agricole SA, 4.375% 15apr2036, EUR (694) (FR001400PGC0)
SG Issuer, 0% 14mar2025, USD (554D, Structured) (XS2659579432)
BNP Paribas Issuance, 5.95% 15mar2036, EUR (FICRT 15235 FR) (XS2719545654)
AXA, 3.375% 31may2034, EUR (50) (XS2834471463)
BNP Paribas, 0% 23may2025, EUR (359D, Structured) (XS2777202131)
Natixis, 4.7% 27jun2031, USD (XS2353543817)
AVAL Master FCT, FRN 30jun2028, EUR (ABS) (FR001400QV82)
BNP Paribas, 0% 23feb2029, EUR (1820D, Structured) (XS2712412837)
SG Issuer, 0% 8may2036, EUR (4475D, Structured) (FRSG00014MD0)
BNP Paribas, 5.5% 3jan2029, EUR (Structured) (XS2458005845)
BNP Paribas, 12.5% 23dec2027, EUR (Structured) (XS2817258820)
BNP Paribas, 0% 16dec2025, USD (1096D, Structured) (XS2447792479)
SG Issuer, FRN 18jun2027, EUR (Structured) (XS2395098275)
Natixis, 2.58% 3sep2027, CNY (HK0001051546)
TotalEnergies, 5.275% 10sep2054, USD (US89157XAE13)
Credit Agricole SA, 4.631% 11sep2028, USD (42) (US22536PAL58)
BNP Paribas, 0% 1mar2027, USD (1091D, Structured) (XS2716260885)
BNP Paribas, 0% 26jul2034, GBP (3652D, Structured) (XS2772951302)
BNP Paribas, FRN 14nov2033, EUR (Structured) (XS2649854630)
BNP Paribas, 0% 15aug2034, EUR (3627D, Structured) (XS2824186576)
BNP Paribas, 41.01% 5jul2029, EUR (Structured) (XS2784221512)
BNP Paribas Issuance, FRN 27sep2029, EUR (XS2804809916)
BNP Paribas Issuance, 4.85% 29dec2025, EUR (Structured) (XS2484666263)
BNP Paribas Issuance, 8.5% 20sep2038, USD (XS2840454834)
L'Oreal, 2.875% 6nov2031, EUR (FR001400TT42)
Societe Generale, FRN 19feb2027, USD (US83368TCB26)
BNP Paribas, 5.906% 19nov2035, USD (US09660V2D44)
Credit Agricole CIB (Taipei Branch), 2% 5nov2029, TWD (TW000G140073)
BNP Paribas Issuance, 0% 20sep2034, EUR (Structured) (FR001400PWS3)
TDF Infrastructure, 4.125% 23oct2031, EUR (FR001400TG54)
BNP Paribas Issuance, FRN 19dec2025, EUR (FINTE 10682 JH) (XS2123756087)
BNP Paribas Issuance, 9.15% 6jan2028, EUR (Structured) (XS2445943876)
BNP Paribas, 7.75% 22feb2034, EUR (14995, Structured) (XS2606081268)
BNP Paribas Issuance, 0% 24nov2025, USD (915D, Structured) (CH1266520621)
Credit Agricole CIB Financial Solutions, 3.85% 29nov2026, USD (12106) (XS2048877729)
CIC - Credit Industriel et Commercial, 4.1% 17dec2034, HKD (2850) (XS2962958844)
AtoS, 5% 18dec2030, EUR (Structured) (XS2950595244)
La registrazione è richiesta per ottenere l'accesso.