Bonds without LP

Bonds without LP - Yesterday Statistics

Min price
Max price
Average price
Number of trades
Quantity
Turnover
XS3166721913 KFW GREEN 2,625% 15/11/32 EUR
XS3166721913 KFW GREEN 2,625% 15/11/32 EUR
XS3166721913 KFW GREEN 2,625% 15/11/32 EUR
XS3292846030 KFW GREEN 2,75% 01/04/33 EUR
XS3292846030 KFW GREEN 2,75% 01/04/33 EUR
XS3047452316 LOTTOMATICA 4,875% 31/01/31 CALL EUR
XS3047452316 LOTTOMATICA 4,875% 31/01/31 CALL EUR
XS3047452316 LOTTOMATICA 4,875% 31/01/31 CALL EUR
XS2824640713 LOTTOMATICA TM 01/06/31 CALL EUR
XS2824640713 LOTTOMATICA TM 01/06/31 CALL EUR
XS2824640713 LOTTOMATICA TM 01/06/31 CALL EUR
USG5852MAA02 MALDIVES ISS 9,875% 08/04/26 USD USD
USG5852MAA02 MALDIVES ISS 9,875% 08/04/26 USD USD
USG5852MAA02 MALDIVES ISS 9,875% 08/04/26 USD USD
IT0005493652 MEDIOBANCA 2,10% 25/05/2028 EUR 95.26 95.26 95.26 1 15,000 14,289
IT0005493652 MEDIOBANCA 2,10% 25/05/2028 EUR
IT0005493652 MEDIOBANCA 2,10% 25/05/2028 EUR
IT0005507832 MEDIOBANCA 2,90% 28/09/2027 EUR
IT0005507832 MEDIOBANCA 2,90% 28/09/2027 EUR
IT0005507832 MEDIOBANCA 2,90% 28/09/2027 EUR
XS2493296730 MEDIOBANCA 3,00% 13/07/2026 EUR
XS2493296730 MEDIOBANCA 3,00% 13/07/2026 EUR
XS2493296730 MEDIOBANCA 3,00% 13/07/2026 EUR
IT0005490955 MEDIOBANCA 3,00% 29/04/27 USD USD
IT0005490955 MEDIOBANCA 3,00% 29/04/27 USD USD
IT0005490955 MEDIOBANCA 3,00% 29/04/27 USD USD
XS2750224201 MEDIOBANCA 3,10% 16/02/2029 EUR
XS2750224201 MEDIOBANCA 3,10% 16/02/2029 EUR
XS2750224201 MEDIOBANCA 3,10% 16/02/2029 EUR 99.45 99.45 99.45 1 5,000 4,972.5
IT0005531485 MEDIOBANCA 3,25% 01/03/2026 EUR
XS2741344613 MEDIOBANCA 3,30% 31/01/2029 EUR
XS2741344613 MEDIOBANCA 3,30% 31/01/2029 EUR
XS2741344613 MEDIOBANCA 3,30% 31/01/2029 EUR
IT0005520470 MEDIOBANCA 3,40% 21/12/2027 EUR
IT0005520470 MEDIOBANCA 3,40% 21/12/2027 EUR
IT0005520470 MEDIOBANCA 3,40% 21/12/2027 EUR
XS2666415836 MEDIOBANCA 3,65% 29/09/28 EUR
XS2666415836 MEDIOBANCA 3,65% 29/09/28 EUR
XS2666415836 MEDIOBANCA 3,65% 29/09/28 EUR
IT0005188351 MEDIOBANCA 3,75% 16/06/26 SUB EUR
IT0005188351 MEDIOBANCA 3,75% 16/06/26 SUB EUR
IT0005188351 MEDIOBANCA 3,75% 16/06/26 SUB EUR
IT0005539504 MEDIOBANCA 3,80% 26/04/2027 EUR
IT0005539504 MEDIOBANCA 3,80% 26/04/2027 EUR
IT0005539504 MEDIOBANCA 3,80% 26/04/2027 EUR
XS2725942523 MEDIOBANCA 4,00% 25/01/2029 EUR
XS2725942523 MEDIOBANCA 4,00% 25/01/2029 EUR
XS2725942523 MEDIOBANCA 4,00% 25/01/2029 EUR
XS2665176298 MEDIOBANCA 4,00% 25/09/2028 EUR
XS2665176298 MEDIOBANCA 4,00% 25/09/2028 EUR