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Elenco delle obbligazioni societarie di Luxembourg

Citigroup Global Markets Funding, 3.05% 6jan2026, EUR (CGMFL54016) (DE000KG6NKT8)
Opus Chartered Issuances, 4.5% 3apr2025, EUR (DE000A1ZSFY4)
Citigroup Global Markets Funding, 7% 15may2024, USD (Structured) (XS2392103417)
Citigroup Global Markets Funding, 4.5% 7nov2029, EUR (CGMFL53495) (DE000KG6NKM3)
Natixis Structured Issuance, 0% 28dec2027, EUR (1313, 1896D) (FR001400DAG0)
Banque Internationale a Luxembourg, 9.5% 23feb2024, USD (Structured) (CH1156476702)
Citigroup Global Markets Funding, 0.25% 9feb2031, EUR (CGMFL23627) (DE000CP1ZPP9)
Mikro Fund, 10% 2mar2025, EUR (XS2571954655)
Citigroup Global Markets Funding, 9.9% 31mar2025, USD (Structured) (XS2550406347)
Argentum Capital S.A., 0% 15aug2025, SEK (2017-37, 2955D) (XS1549451059)
Argentum Capital S.A., 0% 24nov2025, SEK (2017-61, 2938D) (XS1549454822)
European Stability Mechanism (ESM), 0% 19oct2023, EUR (310, 182D) (EU000A3JZRZ5)
Weser Funding, 4.75% 15may2058, EUR (XS2613231419)
Societe Generale Luxembourg, 0% 22dec2031, EUR (3752D, Structured) (XS2366834435)
Societe Generale Luxembourg, 3% 15oct2030, EUR (Structured) (XS2188725225)
Societe Generale Luxembourg, 4% 29oct2031, EUR (Structured) (XS2337334820)
Opus Chartered Issuances, 0% perp., EUR (Structured) (DE000A3G43A1)
Opus Chartered Issuances, 0% 30may2033, EUR (3653D) (DE000A3G5360)
GoldenPeaks Green Bond I, 5.75% 22dec2024, EUR (XS2423503833)
Citigroup Global Markets Funding, 0% 26nov2027, GBP (2376D, Structured) (XS2338459493)
Suncap SCOOP S.A. SERIE 1, 3.5% 31aug2033, EUR (XS2698026932)
Citigroup Global Markets Funding, 4.8% 17mar2025, USD (DE000KG6NLJ7)
Citigroup Global Markets Funding, 4% 17mar2026, EUR (Structured) (DE000KG6NLD0)
Single Platform Investment Repackaging Entity, 4.181% 3may2032, EUR (1) (XS2726934982)
Citigroup Global Markets Funding, 3.45% 13feb2028, EUR (CGMFL55110) (DE000KG6NK14)
Citigroup Global Markets Funding, 3.2% 8nov2025, EUR (CGMFL66493) (DE000KH5DBK8)
Citigroup Global Markets Funding, 3.5% 8nov2027, EUR (CGMFL66494) (DE000KH5DBL6)
European Investment Bank (EIB), 4% 15feb2029, USD (US298785JZ01)
Altice International, 9.625% 15jul2027, USD (USL0178WAL65)
BCEE, 4.02% 8mar2044, EUR (XS2779916837)
BL Consumer Issuance Platform, FRN 25sep2041, EUR (2024-1, ABS, D) (XS2758922111)
Paper Industries Intermediate Financing, 0% 4mar2025, USD (1855D) (XS2724485318)
Micro Small Medium Enterprises Bonds, FRN 18sep2034, USD (496) (XS2765595249)
Single Platform Investment Repackaging Entity, 4.082% 6mar2045, EUR (XS2770876774)
Natixis Structured Issuance, 0% 13oct2033, EUR (3816D, Structured) (FR001400H2E4)
Natixis Structured Issuance, 0% 17may2033, EUR (3709D, Structured) (FR001400GKX7)
Natixis Structured Issuance, 0% 13dec2033, EUR (3667D, Structured) (FR001400M7T4)
Natixis Structured Issuance, 0% 5jan2034, EUR (3683D, Structured) (FR001400M7M9)
Natixis Structured Issuance, 0% 14apr2033, EUR (3748D, Structured) (FR001400ETG8)
Natixis Structured Issuance, 0% 13jun2033, EUR (3723D, Structured) (FR001400GQN5)
Natixis Structured Issuance, 0% 14dec2033, EUR (3708D, Structured) (FR001400L8N6)
Natixis Structured Issuance, 0% 27dec2033, EUR (3708D, Structured) (FR001400LIU7)
Citigroup Global Markets Funding, FRN 1dec2025, USD (Structured) (LU2190299185)
Argentum Capital S.A., FRN 31mar2028, EUR (2014-2, Structured) (XS1022035932)
European Investment Bank (EIB), FRN 14aug2029, USD (US298785KD79)
Matterhorn Telecom, 5.25% 31jul2028, CHF (CH1354072469)
Alternative Fund, 13.5% 17jul2027, USD (CH1366516842)
Citigroup Global Markets Funding, 7.8% 6apr2027, ILS (Structured) (XS2785603767)
Citigroup Global Markets Funding, 10.25% 21jan2025, EUR (Structured) (XS2641042549)
Natixis Structured Issuance, 3.25% 7mar2034, EUR (Structured) (FR001400LYQ2)
Credit Agricole CIB Lux, FRN 3feb2026, USD (294) (XS2341122369)
LUX REAL ESTATE INVESTMENTS, 2% 15jul2034, USD (ABS) (DE000A3L1ME3)
LUX REAL ESTATE INVESTMENTS, 4% 15jul2039, USD (ABS) (DE000A3L1ML8)
Citigroup Global Markets Funding, 0% 22oct2036, EUR (4471D, Structured) (XS2848097346)
Natixis Structured Issuance, 0% 4aug2031, EUR (2558D, Structured) (XS2736677688)
Citigroup Global Markets Funding, 15.8% 30jun2025, USD (Structured) (XS2828777164)
Banque Internationale a Luxembourg, FRN 19sep2025, EUR (XS2686078978)
Citigroup Global Markets Funding, 11.6% 17aug2026, USD (Structured) (XS2866250025)
NCO Invest, 10% 30dec2026, EUR (Structured) (DE000A3LWZL7)
Prologis European Logistics Fund, 3.7% 7oct2034, EUR (15) (XS2908897742)
DZ Privatbank SA, FRN 3oct2029, EUR (46) (XS2910543078)
Single Platform Investment Repackaging Entity, 4.17% 17oct2034, EUR (XS2911110331)
Citigroup Global Markets Funding, 10.2% 5sep2034, EUR (Structured) (XS2828729868)
Banque Internationale a Luxembourg, 4.035% 24oct2031, EUR (XS2926255709)
Silver Arrow, FRN 15dec2031, EUR (18, ABS, A) (XS2901445234)
NORD/LB Covered Bond Bank, FRN 19jun2025, EUR (XS2635409993)
Single Platform Investment Repackaging Entity, FRN 29oct2030, EUR (2024-212) (XS2914566422)
Shurgard Self-Storage, 3.625% 22oct2034, EUR (BE6356733327)
Alternative Fund, 10% 28oct2028, CHF (CH1393148643)
DZ Privatbank SA, 3.577% 15jun2027, EUR (XS2730791576)
Single Platform Investment Repackaging Entity, 4.42% 25jul2053, EUR (2024-275) (XS2909633203)
Golden Ray, FRN 27dec2057, EUR (ABS, A1) (XS2915434216)
Citigroup Global Markets Funding, 0% 29dec2034, EUR (3780D, Structured) (XS2866313120)
Citigroup Global Markets Funding, 8.35% 20jun2034, EUR (Structured) (XS2770547284)
Citigroup Global Markets Funding, 0% 18feb2025, USD (371D, Structured) (XS2742535334)
Citigroup Global Markets Funding, 0% 2dec2036, EUR (4493D, Structured) (XS2856234724)
Citigroup Global Markets Funding, 8% 8jan2026, USD (Structured) (XS2828760608)
Citigroup Global Markets Funding, 9% 4aug2036, EUR (Structured) (XS2778203823)
Citigroup Global Markets Funding, 0% 5mar2030, GBP (2185D, Structured) (XS2752757273)
Citigroup Global Markets Funding, 5.3% 1mar2032, EUR (Structured) (XS2439275871)
Citigroup Global Markets Funding, 0% 16oct2034, USD (3729D, Structured) (XS2856278697)
Citigroup Global Markets Funding, FRN 31mar2029, USD (CGMFL55961) (XS2553884367)
Citigroup Global Markets Funding, FRN 29sep2028, EUR (CGMFL51418) (XS2493909928)
Citigroup Global Markets Funding, 0% 16oct2029, USD (1826D, Structured) (XS2896410094)
Citigroup Global Markets Funding, 0% 30oct2034, EUR (3738D, Structured) (XS2848033374)
Citigroup Global Markets Funding, 15% 1oct2025, USD (Structured) (XS2896462566)
Citigroup Global Markets Funding, 6.8% 6jun2025, CHF (Structured) (XS2814682279)
Citigroup Global Markets Funding, 12.45% 6oct2036, EUR (Structured) (XS2848032210)
Citigroup Global Markets Funding, 0% 10oct2034, EUR (3723D, Structured) (XS2848011990)
Citigroup Global Markets Funding, 10.31% 11mar2025, CHF (Structured) (XS2695490925)
Citigroup Global Markets Funding, 8.15% 6oct2034, EUR (Structured) (XS2866251007)
Single Platform Investment Repackaging Entity, 3.626% 20mar2044, EUR (2024-318) (XS2905575184)
Citigroup Global Markets Funding, 6% 8sep2025, EUR (Structured) (XS2814677865)
Citigroup Global Markets Funding, 0% 3dec2035, EUR (Structured) (XS2663082647)
ArcelorMittal, 3.125% 13dec2028, EUR (XS2954181843)
Citigroup Global Markets Funding, 0% 23oct2034, EUR (3720D, Structured) (XS2873364033)
Citigroup Global Markets Funding, 7% 6nov2036, EUR (Structured) (XS2907322809)
Citigroup Global Markets Funding, 0% 5oct2033, EUR (3730D, Structured) (XS2641011585)
Citigroup Global Markets Funding, 6.2% 20aug2025, EUR (Structured) (XS2866283547)
XXIII Capital, FRN 30nov2026, EUR (CH1323253729)
La registrazione è richiesta per ottenere l'accesso.