Bonds without LP

Bonds without LP

Bid yield
Nr. of proposals (bid)
Bid quantity
Bid price
Ask price
Ask quantity
Nr. of proposals (ask)
Ask yield
Var %
Data sheet
SI0002105227 SLOVENIA 3,275% 12/03/2036 12/03/2036 EUR Fixed rate 1Y 3.28 4.517 1 3,000 90.23
SI0002104873 SLOVENIA 3,50% 14/04/2055 14/04/2055 EUR Fixed rate 1Y 3.50
SI0002105052 SLOVENIA GREEN 3,125% 02/07/35 02/07/2035 EUR Fixed rate 1Y 3.13
XS2944871586 SNAM 3,375% SUST 26/11/31 CALL 26/11/2031 EUR Fixed rate 1Y 3.38
XS2944872121 SNAM 5,75% SUST 26/11/36 GBP CAL 26/11/2036 GBP Mixed Rate 6M 5.75
XS3096163160 SNAM GREEN 3,25% 01/07/32 CALL 01/07/2032 EUR Fixed rate 1Y 3.25
XS2767499275 SNAM GREEN 3,375% 19/02/28 CALL 19/02/2028 EUR Fixed rate 1Y 3.38
XS2558332438 SOC GEN S/UP 25/05/2028 25/05/2028 EUR Mixed Rate 6M 3.15
XS3200900838 SOC. GEN. TM 24/10/2040 CALL 24/10/2040 EUR Mixed Rate 1M 8.50
XS3090092233 STELLANTIS 4,625% 06/06/35 CALL 06/06/2035 EUR Fixed rate 1Y 4.63
XS2970728205 SUDZUCKER 4,125% 29/01/32 CALL 29/01/2032 EUR Fixed rate 1Y 4.13
US912810TT51 T BOND 4,125% 15/08/53 USD 15/08/2053 USD Fixed rate 6M 4.13 5.101 1 42,000 85.69 90.01 40,000 1 4.784
US912810TX63 T BOND 4,25% 15/02/54 USD 15/02/2054 USD Fixed rate 6M 4.25 5.110 1 42,000 87.3 91.7 40,000 1 4.793
US912810TU25 T BOND 4,375% 15/08/43 USD 15/08/2043 USD Fixed rate 6M 4.38 5.051 1 42,000 92.25 96.91 40,000 1 4.636
US912810UG12 T BOND 4,625% 15/02/55 USD 15/02/2055 USD Fixed rate 6M 4.63 5.105 1 42,000 92.79 97.47 40,000 1 4.787
US912810UB25 T BOND 4,625% 15/05/44 USD 15/05/2044 USD Fixed rate 6M 4.63 5.085 1 42,000 94.6 99.38 40,000 1 4.676
US912810UA42 T BOND 4,625% 15/05/54 USD 15/05/2054 USD Fixed rate 6M 4.63 5.100 1 42,000 92.94 97.66 40,000 1 4.777
US912810UJ50 T BOND 4,75% 15/02/45 USD 15/02/2045 USD Fixed rate 6M 4.75 5.079 1 42,000 96.03 100.91 40,000 1 4.676
US912810UL07 T BOND 5,0% 15/05/45 USD 15/05/2045 USD Fixed rate 6M 5.00 5.101 1 42,000 98.77 103.79 40,000 1 4.697
US91282CAV37 T NOTE 0,875% 15/11/30 USD 15/11/2030 USD Fixed rate 6M 0.88 4.294 1 17,000 85.92 88.46 40,000 1 3.633 -2.98
US91282CDK45 T NOTE 1,125% 30/11/26 USD 30/11/2026 USD Fixed rate 6M 1.25 5.354 1 42,000 97.52 99.44 40,000 1 2.159
US91282CCV19 T NOTE 1,125% 31/08/28 USD 31/08/2028 USD Fixed rate 6M 1.13 4.454 1 42,000 92.6 95.36 40,000 1 3.178
US91282CDG33 T NOTE 1,125% 31/10/26 USD 31/10/2026 USD Fixed rate 6M 1.13 5.602 1 42,000 97.66 99.56 40,000 1 1.951
US91282CCS89 T NOTE 1,25% 15/08/31 USD 15/08/2031 USD Fixed rate 6M 1.25 4.267 1 42,000 85.74 88.28 40,000 1 3.690
US912828YD60 T NOTE 1,375% 31/08/26 USD 31/08/2026 USD Fixed rate 6M 1.38 6.453 1 42,000 98.15 100.09 40,000 1 1.130
US91282CEC10 T NOTE 1,875% 28/02/27 USD 28/02/2027 USD Fixed rate 6M 1.88 4.567 1 42,000 97.74 99.64 40,000 1 2.294
US91282CES61 T NOTE 2,75% 31/05/29 USD 31/05/2029 USD Fixed rate 6M 2.75 4.344 1 42,000 95.41 98.27 40,000 1 3.344
US91282CHB00 T NOTE 3,625% 15/05/26 USD 15/05/2026 USD Fixed rate 6M 3.63 16.908 1 42,000 98.93 100.85 40,000 1 -6.825
US91282CHE49 T NOTE 3,625% 31/05/28 USD 31/05/2028 USD Fixed rate 6M 3.63 4.531 1 42,000 98.19 101.13 40,000 1 3.073
US91282CLK52 T NOTE 3,625% 31/08/2029 USD 31/08/2029 USD Fixed rate 6M 3.63 4.328 1 42,000 97.82 100.72 40,000 1 3.399
US91282CJR34 T NOTE 3,75% 31/12/28 USD 31/12/2028 USD Fixed rate 6M 3.75 4.383 1 42,000 98.42 101.34 40,000 1 3.237
US91282CJQ50 T NOTE 3,75% 31/12/30 USD 31/12/2030 USD Fixed rate 6M 3.75 4.263 1 42,000 97.87 100.81 40,000 1 3.570
US91282CHT18 T NOTE 3,875% 15/08/2033 USD 15/08/2033 USD Fixed rate 6M 3.88 4.485 1 42,000 96.22 100.1 40,000 1 3.859
US91282CMP31 T NOTE 4,125% 28/02/2027 USD 28/02/2027 USD Fixed rate 6M 4.13 4.896 1 42,000 99.34 101.3 40,000 1 2.589
US91282CLW90 T NOTE 4,25% 15/11/34 USD 15/11/2034 USD Fixed rate 6M 4.25 4.531 1 42,000 98.02 101.94 40,000 1 3.980
US91282CHX20 T NOTE 4,375% 31/08/2028 USD 31/08/2028 USD Fixed rate 6M 4.38 4.517 1 42,000 99.69 102.65 40,000 1 3.208
US91282CMM00 T NOTE 4,625% 15/02/35 USD 15/02/2035 USD Fixed rate 6M 4.63 4.514 1 42,000 100.8 104.84 40,000 1 3.970
XS3078563874 TAMBURI INV. 4,625% 21/6/29 CALL 21/06/2029 EUR Fixed rate 1Y 4.63
XS3194057553 TELECOM ITA 3,625% 30/9/30 CALL 30/09/2030 EUR Fixed rate 1Y 3.63
XS3128477521 TERNA GREEN 3,00% 22/07/2031 22/07/2031 EUR Fixed rate 1Y 3.00
US893830AF64 TRANSOCEAN 7,5% 15/4/31 USD CALL 15/04/2031 USD Fixed rate 6M 7.50 7.064 1 10,000 101.81 104.87 10,000 1 6.347
XS3269554690 UNGHERIA 4,25% 26/05/2033 26/05/2033 EUR Fixed rate 1Y 4.25
XS2680932907 UNGHERIA 5,375% 12/09/2033 12/09/2033 EUR Fixed rate 1Y 5.38
US445545AF36 UNGHERIA 7,625% 29/03/2041 USD 29/03/2041 USD Fixed rate 6M 7.63
XS2971937672 UNGHERIA GREEN 4,875% 22/03/40 22/03/2040 EUR Fixed rate 1Y 4.88
XS3269555234 UNGHERIA GREEN 4,875% 25/3/2038 25/03/2038 EUR Fixed rate 1Y 4.88
XS2499011059 UNICREDIT 3,25% 27/07/2027 27/07/2027 EUR Fixed rate 1Y 3.25
IT0005545287 UNICREDIT 3,70% 31/05/28 CALL 31/05/2028 EUR Fixed rate 1Y 3.70
XS2541433590 UNICREDIT 4,15% 26/04/27 26/04/2027 EUR Fixed rate 1Y 4.15
IT0005698458 UNICREDIT 6,0% 09/03/46 CALL 09/03/2046 EUR One Coupon - 6.00