Obbligazioni senza LP

Obbligazioni senza LP - Statistiche di ieri

Prezzo Min
Prezzo Max
Prezzo Medio
Numero Contratti
Quantità negoziata
Controvalore
IT0005669574 BPPB 2,65% 15/09/2027 EUR
IT0005669574 BPPB 2,65% 15/09/2027 EUR
IT0005669574 BPPB 2,65% 15/09/2027 EUR
IT0005696015 BPPB 3,00% 01/04/2031 EUR
IT0005696015 BPPB 3,00% 01/04/2031 EUR
IT0005652646 BPS S.P.A.TF RES 26/06/35 SUBCAL EUR
IT0005652646 BPS S.P.A.TF RES 26/06/35 SUBCAL EUR
IT0005652646 BPS S.P.A.TF RES 26/06/35 SUBCAL EUR
IT0005652646 BPS S.P.A.TF RES 26/06/35 SUBCAL EUR
IT0005676827 BPS S.P.A.TF RESET PERP SUB CALL EUR
IT0005676827 BPS S.P.A.TF RESET PERP SUB CALL EUR
IT0005676827 BPS S.P.A.TF RESET PERP SUB CALL EUR
IT0005676827 BPS S.P.A.TF RESET PERP SUB CALL EUR
US105756BR01 BRASILE 5,625% 07/1/2041 USD USD
US105756BR01 BRASILE 5,625% 07/1/2041 USD USD
US105756BR01 BRASILE 5,625% 07/1/2041 USD USD
US105756BR01 BRASILE 5,625% 07/1/2041 USD USD
US105756CH10 BRASILE 6,125% 15/03/34 CALL USD USD
US105756CL22 BRASILE 6,625% 15/03/35 CALL USD USD
US105756CN87 BRASILE 7,25% 12/01/56 CALL USD USD
IT0005568727 BSELLA H TF RESET 14/11/33SUBCAL EUR
IT0005568727 BSELLA H TF RESET 14/11/33SUBCAL EUR
IT0005568727 BSELLA H TF RESET 14/11/33SUBCAL EUR
IT0005568727 BSELLA H TF RESET 14/11/33SUBCAL EUR
IT0005513194 BSELLA H TF RESET 18/4/33 SUBCAL EUR
IT0005513194 BSELLA H TF RESET 18/4/33 SUBCAL EUR
IT0005513194 BSELLA H TF RESET 18/4/33 SUBCAL EUR
IT0005513194 BSELLA H TF RESET 18/4/33 SUBCAL EUR
IT0005495152 BSELLA H TF RESET 24/11/32SUBCAL EUR
IT0005495152 BSELLA H TF RESET 24/11/32SUBCAL EUR
IT0005495152 BSELLA H TF RESET 24/11/32SUBCAL EUR
IT0005495152 BSELLA H TF RESET 24/11/32SUBCAL EUR
XS3124393367 BULGARIA 4,125% 18/07/2045 EUR
XS3124393367 BULGARIA 4,125% 18/07/2045 EUR
XS3124393367 BULGARIA 4,125% 18/07/2045 EUR
DE0001102556 BUND 0% 15/11/2028 EUR
DE0001102556 BUND 0% 15/11/2028 EUR
DE0001102556 BUND 0% 15/11/2028 EUR
DE000BU22072 BUND 2,00% 10/12/2026 EUR
DE000BU22072 BUND 2,00% 10/12/2026 EUR
DE000BU22072 BUND 2,00% 10/12/2026 EUR
DE000BU22072 BUND 2,00% 10/12/2026 EUR
DE000BU22114 BUND 2,00% 16/12/2027 EUR
DE000BU22114 BUND 2,00% 16/12/2027 EUR
DE000BU22114 BUND 2,00% 16/12/2027 EUR
DE000BU22114 BUND 2,00% 16/12/2027 EUR
DE0001102622 BUND 2,10% 15/11/2029 EUR
DE0001102622 BUND 2,10% 15/11/2029 EUR
DE0001102622 BUND 2,10% 15/11/2029 EUR
DE0001102622 BUND 2,10% 15/11/2029 EUR