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Elenco delle obbligazioni societarie di Luxembourg

Citigroup Global Markets Funding, 0% 7jul2025, RUB (1286D, Structured) (XS2420188349)
Citigroup Global Markets Funding, FRN 19jan2027, USD (Structured) (XS2430411632)
European Investment Bank (EIB), 0.05% 15nov2029, EUR (2552/0100) (XS2439543047)
Natixis Structured Issuance, 0% 14jul2031, EUR (908, 3700D) (FR00140038D5)
Natixis Structured Issuance, FRN 21jun2023, USD (Structured) (XS1763348601)
Absolute Secured Debt, 4% 15jan2025, EUR (XS2445667079)
European Investment Bank (EIB), 1.75% 15mar2029, USD (US298785JR84)
Banque Internationale a Luxembourg, 0% 4oct2024, EUR (1096D, Structured) (CH1126881890)
Banque Internationale a Luxembourg, 0% 4oct2024, USD (1096D, Structured) (CH1126881908)
Citigroup Global Markets Funding, FRN 10sep2024, RUB (Structured) (XS1956937657)
Citigroup Global Markets Funding, FRN 12jun2024, RUB (Structured) (XS2000597273)
Citigroup Global Markets Funding, 0% 10jun2022, RUB (1281D, Structured) (XS1902423406)
European Investment Bank (EIB), 3% 29mar2032, AUD (2561/0100) (AU3CB0287779)
Natixis Structured Issuance, FRN 29apr2031, EUR (855, Structured) (FR00140024Y1)
Banque Internationale a Luxembourg, FRN 2may2025, EUR (TK 333913) (XS2464787246)
Citigroup Global Markets Funding, 0% 24mar2032, EUR (CGMFL43217, 3726D) (FR0014007AO0)
Quintet Private Bank (Europe), 0% 4mar2025, EUR (14, 1820D, Structured) (XS2128443228)
Natixis Structured Issuance, FRN 12may2032, EUR (1198, Structured) (FR001400A324)
Virtuo Finance, 1.7725% 14jan2030, EUR (2022-4 A1) (XS2497280128)
Mikro Fund, 10.5% 19jul2025, EUR (CH1203649913)
Natixis Structured Issuance, FRN 26jan2032, EUR (1091, Structured) (FR0014007QL2)
Natixis Structured Issuance, FRN 26jan2027, EUR (1108, Structured) (FR0014007YR3)
CARTIR S.A., 0% perp., EUR (202110, Structured) (XS2402040708)
Medtronic Global Holdings, 3.375% 15oct2034, EUR (XS2535309798)
Medtronic Global Holdings, 2.625% 15oct2025, EUR (XS2535307743)
Banque Internationale a Luxembourg, 0% 22jun2023, EUR (547D, Structured) (CH1143781552)
Palladium Global Investments, FRN 22sep2027, EUR (31, Structured) (XS2547609789)
Banque Internationale a Luxembourg, 4.5% 9dec2025, AUD (TK673129) (XS2556931827)
ArcelorMittal, 6.55% 29nov2027, USD (US03938LBE39)
Citigroup Global Markets Funding, 0% 8sep2034, EUR (CGMFL50637, 4440D) (FR001400BHM7)
Natixis Structured Issuance, FRN 26jul2032, EUR (1259, Structured) (FR001400BR02)
Natixis Structured Issuance, 0% 25mar2032, EUR (1089, 3719D) (FR0014007PH2)
Natixis Structured Issuance, 0% 29nov2030, EUR (1288, 2984D) (FR001400CSZ4)
Natixis Structured Issuance, 0% 1jul2032, EUR (1178, 3653D) (FR0014009O13)
Argentum Capital S.A., FRN 20jun2024, USD (2019-138) (XS2022018654)
European Investment Bank (EIB), 2.75% 28jul2028, EUR (XS2587298204)
GreenSaif Pipelines Bidco, 5.78% 23aug2032, USD (XS2568343672)
European Stability Mechanism (ESM), 3% 15mar2028, EUR (305) (EU000A1Z99R5)
Argentum Capital S.A., 0% 1jul2024, SEK (2713D, Structured) (XS1261177874)
Menara Investments, 9% 3may2026, EUR (23) (XS2615187320)
Menara Investments, 10% 17may2026, USD (22) (XS2615007106)
Societe Generale Luxembourg, 4.25% 10nov2031, EUR (Structured) (XS2342993362)
Menara Investments, 0% 27jun2026, USD (26, 1089D) (XS2638917836)
European Investment Bank (EIB), 3% 15nov2028, EUR (2613/0100) (EU000A3K4ED6)
Single Platform Investment Repackaging Entity, FRN 20sep2034, EUR (2022-278) (XS2534059295)
Citigroup Global Markets Funding, 4.5% 12may2026, EUR (Structured) (DE000KH5DAR5)
Mikro Fund, 13% 29nov2026, EUR (XS2719116373)
European Financial Stability Facility (EFSF), 2.625% 16jul2029, EUR (155) (EU000A2SCAM1)
Mikro Fund, 12% 25jan2026, USD (CH1322560686)
European Stability Mechanism (ESM), 0% 9may2024, EUR (330, 91D) (EU000A3JZSH1)
Citigroup Global Markets Funding, 0% 9jan2024, EUR (1098D, Structured) (XS2270722536)
Natixis Structured Issuance, 0% 12may2033, EUR (3699D, Structured) (FR001400GQF1)
PURPLE PROTECTED ASSET, FRN 2may2025, EUR (XS2743547551)
OHI GROUP S.A., 13% 22jul2029, USD (USL7S61MAB59)
Single Platform Investment Repackaging Entity, 0% 12sep2025, EUR (2024-267, 396D) (XS2874386480)
Citigroup Global Markets Funding, 7.3% 29may2025, USD (Structured) (XS2807665265)
Citigroup Global Markets Funding, 0% 11sep2028, GBP (2183D, Structured) (XS2493935683)
Citigroup Global Markets Funding, 0% 20sep2029, USD (1826D) (XS2885375936)
Driver UK Master, FRN 26apr2032, GBP (9, ABS, A) (XS2886910020)
P3 Group, 4% 19apr2032, EUR (XS2901491261)
Citigroup Global Markets Funding, 0% 23nov2029, EUR (2923D, Structured) (XS2364114350)
Single Platform Investment Repackaging Entity, 4.43% 15apr2036, EUR (2024-401) (XS2916836575)
Citigroup Global Markets Funding, 0% 6nov2034, EUR (3783D, Structured) (XS2814643610)
Opus Chartered Issuances, 0% perp., EUR (Structured) (XS2872349027)
Natixis Structured Issuance, 0% 17oct2031, EUR (2556D, Structured) (XS2736682845)
Asset-Backed European Securitisation Transaction Twenty Three, FRN 21mar2034, EUR (23, ABS, B) (XS2913112889)
BCEE, 3.52% 21nov2044, EUR (XS2939534652)
Golden Ray, FRN 27dec2057, EUR (ABS, C) (XS2915434992)
Natixis Structured Issuance, 0% 30dec2032, EUR (Structured) (FR001400SMN9)
Citigroup Global Markets Funding, 9.4% 28jul2025, EUR (Structured) (XS2856263152)
Citigroup Global Markets Funding, 8.5% 22jul2030, EUR (Structured) (XS2165935375)
Citigroup Global Markets Funding, 0% 23oct2034, EUR (3696D, Structured) (XS2873367309)
Citigroup Global Markets Funding, 0% 3nov2033, EUR (3677D, Structured) (XS2671814387)
Citigroup Global Markets Funding, 6% 23may2033, EUR (Structured) (XS2607940868)
Citigroup Global Markets Funding, 9% 16oct2034, EUR (Structured) (XS2873437284)
Citigroup Global Markets Funding, 5.5% 13aug2026, CHF (Structured) (XS2752654892)
Citigroup Global Markets Funding, 0% 22oct2036, EUR (4496D, Structured) (XS2814634973)
Citigroup Global Markets Funding, 0% 7nov2034, EUR (3737D, Structured) (XS2856244368)
Citigroup Global Markets Funding, 8.12% 27feb2026, USD (Structured) (XS2916854719)
Citigroup Global Markets Funding, 0% 13jul2026, USD (1096D, Structured) (XS2631306698)
AMUNDI REAL ASSETS COMPANY, 0% 26dec2050, EUR (11326D) (XS2093168206)
Citigroup Global Markets Funding, 10.05% 16may2025, USD (Structured) (XS2801152070)
Citigroup Global Markets Funding, 7.5% 2jun2026, USD (Structured) (XS2927652235)
XXIII Capital, FRN 31mar2026, EUR (CH1323482385)
XXIII Capital, FRN 1mar2028, EUR (CH1323552625)
PEFCO Finance Issuer One, FRN 25may2035, EUR (Structured) (XS2963656702)
TRATON Finance Luxembourg S.A., 3.375% 14jan2028, EUR (DE000A3L69X8)
Banque Internationale a Luxembourg, 0% 25jan2029, USD (1827D, Structured) (CH1284256554)
European Investment Bank (EIB), 4.625% 12feb2035, USD (US298785KH83)
Citigroup Global Markets Funding, 0% 10apr2030, GBP (2564D, Structured) (XS2566010109)
European Investment Bank (EIB), 4.03% 25apr2027, HKD (EU000A3LXSM2)
Natixis Structured Issuance, 0% 18dec2031, EUR (2556D, Structured) (XS2736688024)
Citigroup Global Markets Funding, 0% 10feb2028, USD (1095D, Structured) (XS2984056957)
Citigroup Global Markets Funding, 11.6% 23dec2027, USD (Structured) (XS2949494616)
Citigroup Global Markets Funding, 8% 4feb2031, GBP (Structured) (XS2975027868)
Citigroup Global Markets Funding, 8.8% 23apr2025, CHF (Structured) (XS2795492102)
European Investment Bank (EIB), 6.75% 13jun2017, RUB (XS0303133564)
European Financial Stability Facility (EFSF), 0% 9aug2012, EUR (93D, ECP) (EU000A1G0B07)
European Investment Bank (EIB), 6% 28aug2015, RUB (XS0748663951)
SecurAsset, 0% 2aug2013, PLN (745D) (XS0625678213)
La registrazione è richiesta per ottenere l'accesso.