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Elenco delle obbligazioni societarie di United Kingdom

Morgan Stanley International PLC, 0% 1feb2027, EUR (1827D, Structured) (XS2424605298)
Barclays, 0% 26apr2027, GBP (1462D, Structured) (XS2503643426)
EBRD, 11% 6aug2025, NGN (XS2761359616)
Towd Point Mortgage Funding 2024 - Granite 6 plc, FRN 20jul2053, GBP (24-GR6X, ABS, A1) (XS2799788976)
Marex Financial, 0% 13dec2027, EUR (0001, 1830D) (IT0006753492)
Nationwide Building Society, 3.309% 2may2034, EUR (2024-2) (XS2812617111)
Natwest Markets plc, FRN 17may2027, USD (11) (USG6382G7Q90)
Morgan Stanley International PLC, FRN 26jan2026, EUR (Structured) (FR001400FF85)
Clarion Funding, 5.375% 30may2057, GBP (6) (XS2828820519)
Morgan Stanley International PLC, FRN 1jun2028, EUR (Structured) (FR001400IBO1)
Barclays Bank PLC, 5.85% 5oct2026, USD (a) (US06745QJJ94)
Barclays Bank PLC, 0% 7jun2029, EUR (2928D, Structured) (XS2279139757)
HSBC, 0% 14jun2030, GBP (2261D, Structured) (GB00BRYVQ432)
Itau BBA International PLC, 8.7% 5jan2029, USD (Structured) (XS2700181733)
Morgan Stanley International PLC, FRN 26sep2028, EUR (Structured) (FR001400KSS2)
Morgan Stanley International PLC, FRN 9feb2032, EUR (Structured) (FRIP000008M7)
EBRD, 2.875% 17jul2031, EUR (XS2861062425)
Barclays Bank PLC, 0% 17dec2029, EUR (NX00397545, 2009D) (XS2761924427)
Lloyds Banking Group, 3.5% 6nov2030, EUR (XS2868171229)
Barclays Bank PLC, 0% 18aug2028, GBP (1824D, Structured) (XS2581011116)
Barclays Bank PLC, FRN 14nov2034, EUR (Structured) (FR001400Q4K6)
Diageo, 3.75% 30aug2044, EUR (XS2833394161)
Barclays Bank PLC, 0.41% 27aug2025, JPY (11492) (XS2888404667)
TSB Bank PLC, FRN 11sep2029, GBP (XS2898163568)
BP PLC, 5.067% 12sep2036, GBP (XS2902573877)
EBRD, 0% 3mar2028, TRY (1277D) (XS2891732690)
Barclays Bank PLC, FRN 11jun2029, EUR (Structured) (XS2777637021)
LSEG Netherlands, 2.75% 20sep2027, EUR (XS2904651093)
EBRD, 5.2% 15oct2054, USD (XS2911140163)
KOROMO UK 1, FRN 23oct2034, GBP (ABS, A) (XS2889379587)
EBRD, 9.25% 27sep2027, AMD (XS2908739753)
Standard Chartered Bank, 0% 10oct2029, USD (NCW, 1826D) (XS2916963171)
Standard Chartered Bank, 5% 15oct2034, USD (16152) (XS2919115522)
Standard Chartered Bank, 0% 15oct2029, USD (NCW, 1826D) (XS2917883196)
Barclays Bank PLC, 3.75% 15oct2029, HKD (NX00424032) (XS2674386334)
Shell, 2.75% 6apr2030, USD (US822905AB18)
Armada Euro CLO III, FRN 15oct2037, EUR (3X, ABS, FRR) (XS2909706447)
Shell, 2.375% 7nov2029, USD (US822905AF22)
HSBC, 2.9% 29oct2029, CNY (XS2925936945)
EBRD, 5.18% 20dec2029, INR (XS2928520530)
Reckitt Benckiser Treasury Services, 0% 22nov2024, USD (269D, ECP) (US7562E0LN41)
IOG, 0% perp., EUR (NO0013353235)
EBRD, 0% 26apr2043, USD (7305D) (XS2614243470)
MORTIMER 2024-MIX, FRN 22sep2067, GBP (ABS, A) (XS2920412330)
Morgan Stanley International PLC, 0% 9jun2027, EUR (1826D, Structured) (XS2477026442)
Standard Chartered Bank, 0% 27jan2025, PKR (81D, ECP) (XS2934636031)
Standard Chartered Bank, 5% 30oct2029, USD (16389) (HK0001075461)
Standard Chartered Bank, 5.08% 8nov2029, USD (16446) (HK0001075834)
Standard Chartered Bank, 0% 27nov2027, USD (NCW, 1095D) (XS2943565684)
NatWest Group, 7.3% perp., USD (US639057AT53)
Standard Chartered Bank, 0% 21nov2028, HKD (NCW, 1461D) (XS2944473003)
Barclays Bank PLC, 0% 4dec2030, USD (2191D, Structured) (US06745YN403)
Barclays Bank PLC, FRN 7nov2034, EUR (Structured) (XS2861371560)
Barclays Bank PLC, FRN 30oct2034, EUR (Structured) (XS2860657084)
Barclays Bank PLC, 2.8575% 17oct2025, USD (Structured) (XS2862540981)
Barclays Bank PLC, 0% 10oct2028, GBP (1461D, Structured) (XS2861361090)
Morgan Stanley International PLC, 0% 18sep2029, EUR (Structured) (FRIP00000UZ6)
Barclays Bank PLC, 0% 16oct2030, EUR (2170D, Structured) (XS2861342975)
Standard Chartered Bank, 0% 3dec2026, USD (NCW, 730D) (XS2947518408)
Barclays Bank PLC, 4.57% 20sep2027, EUR (NX00432343) (XS2897795071)
B&M European Value Retail, 6.5% 27nov2031, GBP (XS2942371274)
Barclays Bank PLC, FRN 18sep2029, EUR (Structured) (XS2845377261)
Sherwood Parentco, 7.625% 15dec2029, EUR (XS2953568479)
Marex Financial, 0% 15jul2025, USD (370D, Structured) (XS2774137520)
Barclays, 3% 9dec2027, EUR (11492, AHF) (XS2950721139)
Telereal, 6.1645% 10dec2031, GBP (XS0307921576)
Santander UK, 4.496% 12dec2027, USD (90) (XS2954943366)
Barclays Bank PLC, 0% 5mar2029, GBP (1825D, Structured) (XS2694365227)
Standard Chartered Bank, 0% 12dec2026, HKD (NCW, 730D) (XS2959371571)
Standard Chartered Bank, 0% 24dec2028, USD (NCW, 1461D) (XS2966937661)
Morgan Stanley International PLC, 0% 7mar2029, EUR (2199D, Structured) (XS2534591826)
Nationwide Building Society, 5.532% 13jan2033, GBP (540) (XS2974139292)
HSBC, 0% 13nov2025, USD (365D, Structured) (XS2927498647)
Standard Chartered Bank, 0% 15jan2030, USD (NCW, 1826D) (XS2977874382)
Standard Chartered Bank, 0% 17jan2030, USD (NCW, 1826D) (XS2979577082)
EBRD, 2.875% 21jan2032, SEK (XS2980858794)
Standard Chartered Bank, 0% 14jan2030, USD (1826D) (XS2976054887)
HSBC, 4.15% 24jan2027, HKD (XS2982064631)
Standard Chartered Bank, 0% 22jan2030, USD (NCW, 1826D) (XS2981961233)
Coventry Building Society, FRN 21jan2030, GBP (XS2954939414)
HSBC, 3.95% 27jan2028, HKD (XS2983971610)
Standard Chartered Bank, 0% 24jan2028, USD (NCW, 1095D) (XS2982936416)
Marex Group, 0% 13mar2025, USD (731D, Structured) (XS2428425537)
Azule Energy Holdings, 8.125% 23jan2030, USD (XS2984221239)
Standard Chartered Bank, 0% 23jan2027, USD (730D) (XS2984402458)
EBRD, 6.75% 13jan2032, INR (XS2974126042)
Barclays Bank PLC, 0% 25jun2026, USD (1841D, Structured) (XS2271435682)
Goldman Sachs International, 3.1% 27feb2030, EUR (P) (XS2963877464)
ICBC Standard Bank, 10.5% 26jan2026, USD (XS2987626848)
EBRD, 2.35% 19jan2027, USD (US29874QER11)
Barclays Bank PLC, 0% 27nov2031, GBP (Structured) (XS2897823899)
Barclays Bank PLC, FRN 29nov2034, EUR (NX00432337) (XS2897794850)
HSBC, 0% 16oct2030, GBP (2191D, Structured) (GB00BSKWS524)
British Telecommunications, 3.125% 11feb2032, EUR (20251) (XS2994509706)
Barclays Bank PLC, 0% 24apr2030, NOK (2030D, Structured) (NO0013329284)
Goldman Sachs International, 0% 15jun2027, SEK (1890D) (SE0017484249)
Morgan Stanley International PLC, 0% 15apr2031, GBP (2254D, Structured) (GB00BQRRJZ36)
Linde plc, 2.625% 18feb2029, EUR (18) (XS3000977234)
Standard Chartered Bank, 0% 18feb2030, HKD (NCW, 1826D) (XS3004013929)
Standard Chartered Bank, 0% 19feb2030, USD (NCW, 1826D) (XS3004013416)
La registrazione è richiesta per ottenere l'accesso.