Search Bonds

Name ISIX ISIN WKN Price Interest Type
GOLDM.S.GRP 11/21 MTN 791147 XS0648867975 000GS9QQE 880.00000 10.00000 Anleihe
ENERCITY AG GEN. 660140 DE0007255358 000725535 855.00000 0.00000 Zero Bond
DZ BANK IS.2565VAR 622252 DE000DZ8L9C1 000DZ8L9C 389.87000 19.06850 Variable Coupon Bond
TREASURY STK 2030 IND.LIN 547076 GB0008932666 000411641 372.99000 4.28520 Variable Coupon Bond
TREASURY STK 2024 IND.LIN 546953 GB0008983024 000127392 364.27000 7.18500 Variable Coupon Bond
DT.KONSUM REIT-AG WD15/25 1246987 DE000A14J1K1 000A14J1K 363.90000 1.35000 Variable Coupon Bond
ABLYNX 15-20 CV 71594 BE6278650344 000A1Z186 359.25500 3.25000
TREASURY STK 2020 IND.LIN 546834 GB0009081828 000415205 355.99200 8.58780 Variable Coupon Bond
BERTELSMANN GEN.2001 662009 DE0005229942 000522994 342.70000 0.00000 Zero Bond
TREASURY STK 2035 IND.LIN 544165 GB0031790826 000909321 282.35000 0.00000 Variable Coupon Bond
TESLA 2018 CV 276 US88160RAA95 000A1HLEG 271.17500 1.50000
ADIDAS AG WLD.12/19 302671 DE000A1ML0D9 000A1ML0D 260.86800 0.25000
TREASURY STK 2055 IND.LIN 543212 GB00B0CNHZ09 000A0GF6G 256.52700 1.25000 Variable Coupon Bond
DWR CYMRU FIN.01/30MTN A4 1265800 XS0128311700 000152075 244.03200 3.51400 Variable Coupon Bond
TREASURY STK 2065 INF.LIN 1226342 GB00BD9MZZ71 000A18YK2 237.82000 0.12500 Variable Coupon Bond
SIGNUM MOMENT.09/50ZO MTN 65920 XS0424794385 000A0VV35 232.72000 0.00000 Zero Bond
TREASURY STK 2062 INF.LIN 680417 GB00B4PTCY75 000A1GWT6 232.23000 0.37500 Variable Coupon Bond
C-QUADRAT ARTS BEST.MOM.T 1766486 AT0000825393 000541664 230.16800 0.00000
DWR CYMRU FIN.01/26 MTNB3 1266297 XS0128313318 000152074 225.09000 7.21430 Variable Coupon Bond
STARAMBA SE WD 17/19 676653 DE000A2DAJ16 000A2DAJ1 222.00000 6.00000
AROUNDTOWN 15/20 CV 1435890 XS1227093611 000A1Z07A 218.13100 3.00000
1+1 DRILLISCH WLD.13/18 191538 DE000A1X3GS9 000A1X3GS 215.00000 0.75000
LBBW 97/27 DM 664593 DE0002115102 000211510 212.50000 17.59878 Variable Coupon Bond
EIDGENOSSENSCHAFT 99-49 675668 CH0009755197 000269202 211.37000 4.00000 Anleihe
LEG IMMOB.WLD.14/21 717838 DE000LEG1CB5 000LEG1CB 210.71000 0.50000 Anleihe
LBBW (1-2)96/26 664204 DE0003030516 000303051 207.65000 18.15555 Variable Coupon Bond
TREASURY STK 2058 INF.LIN 719161 GB00BP9DLZ64 000A1ZMR9 205.78800 0.12500 Variable Coupon Bond
NATL GRID GAS HL.99/22FLR 1170024 XS0103338140 000450082 204.28000 3.60570 Variable Coupon Bond
TREASURY STK 2056 INF.LIN 1309681 GB00BYVP4K94 000A19AL4 201.55000 0.12500 Variable Coupon Bond
TREASURY STK 2047 IND.LIN 539900 GB00B24FFM16 000A0TMK9 196.33500 0.75000 Variable Coupon Bond
BERTELSMANN GENSCH. 662011 DE0005229900 000522990 196.00000 0.00000 Zero Bond
TREASURY STK 2050 INF.LIN 538902 GB00B421JZ66 000A1AM5W 192.18000 0.50000 Variable Coupon Bond
TREASURY STK 2052 INF.LIN 754543 GB00B73ZYW09 000A0VLQU 191.97800 0.25000 Variable Coupon Bond
BUNDANL.V. 08/40 665178 DE0001135366 000113536 189.12500 4.75000 Anleihe
OESTERR. 12/62 2667 AT0000A0U299 000A1GZRP 188.62000 3.80000 Anleihe
TIGENIX 15-18 CV 431709 BE6276591128 000A1ZX44 187.35000 9.00000
K.F.W.IS.11/41 NK 749642 DE000A1H3614 000A1H361 183.29000 0.00000 Zero Bond
DANSKE STAT 2039 572236 DK0009922320 000A0T3VK 181.99000 4.50000 Anleihe
BAY.LDSBK.OPF.R.20269 VAR 642267 DE000BLB5GT7 000BLB5GT 180.95000 12.50000 Variable Coupon Bond
ORANGE 03/33 MTN 564239 FR0000471930 000727319 179.88000 8.12500 Anleihe
LCR FINANCE 02/51 337551 XS0150670551 000861113 178.99000 5.10000 Anleihe
REP. FSE 10-60 O.A.T. 554267 FR0010870956 000A1AUUV 178.08000 4.00000 Anleihe
TREASURY STK 2060 537900 GB00B54QLM75 000A1AN8H 175.86000 4.00000 Anleihe
TREASURY STK 2055 543233 GB00B06YGN05 000A0E5TB 175.77000 4.25000 Anleihe
BUNDANL.V. 07/39 I 665200 DE0001135325 000113532 175.72900 4.25000 Anleihe
TREASURY STK 2042 IND.LIN 539194 GB00B3MYD345 000A1AKUV 175.26500 0.62500 Variable Coupon Bond
EIB EUR.INV.BK 04/54 MTN 288024 XS0202407093 000A0DEB3 174.78000 4.62500 Anleihe
ENGIE 11/2111 MTN 552400 FR0011022474 000A1GNQ0 174.52000 5.95000 Anleihe
TREASURY STK 2048 INF.LIN 1766481 GB00BZ13DV40 000A19R37 174.50000 0.12500 Variable Coupon Bond
REP. FSE 05-55 O.A.T. 562625 FR0010171975 000A0DZFW 172.98000 4.00000 Anleihe
RABOBK NEDERLD 10/60 MTN 25931 XS0530302628 000A1AZNB 171.89000 5.37500 Anleihe
EIDGENOSSENSCHAFT 14-64 335237 CH0224397007 000A1ZKVD 171.61000 2.00000 Anleihe
DEUTSCHE POST WLD.12/19 4861 DE000A1R0VM5 000A1R0VM 171.44500 0.60000
TREASURY STK 2037 IND.LIN 540147 GB00B1L6W962 000A0LNLU 170.36000 1.12500 Variable Coupon Bond
ENBW INTL FIN. 09/39 MTN 60978 XS0438844093 000A1AJTV 170.32000 6.12500 Anleihe
DT.TELEK.INTL F.03/33 MTN 331670 XS0161488498 000728317 170.16000 7.50000 Variable Coupon Bond
CIE F.FONCIER 06/55 MTN 561495 FR0010292169 000A0GNKG 169.51000 3.87500 Hypotheken Pfandbrief
NEDERLD 10-42 511794 NL0009446418 000A1AXK4 169.21000 3.75000 Anleihe
TREASURY STK 2068 213125 GB00BBJNQY21 000A1HM0H 168.97000 3.50000 Anleihe
BUNDANL.V. 03/34 665266 DE0001135226 000113522 168.65100 4.75000 Anleihe
REP. FSE 09-41 O.A.T. 555269 FR0010773192 000A1AJL2 168.49000 4.50000 Anleihe
CITIGROUP INC. 09/39 MTN 59895 XS0449155455 000A1ALZQ 168.37000 7.37500 Anleihe
NETWORK R.I.FIN.07/37 MTN 156827 XS0299655448 000A0NUJ5 168.24600 1.92635 Variable Coupon Bond
BUNDANL.V. 00/30 665293 DE0001135143 000113514 167.95900 6.25000 Anleihe
REP. FSE 01-32 O.A.T. 564356 FR0000187635 000686543 167.39000 5.75000 Anleihe
CIRC.ANG.SOC.HSG. 08/38 87519 XS0398990944 000A0T3SF 167.39000 7.25000 Anleihe
TREASURY STK 2046 INF.LIN 116845 GB00BYMWG366 000A1Z3K2 167.26200 0.12500 Variable Coupon Bond
SNCF RESEAU 10/60 MTN 31978 XS0497367465 000A1AVDV 167.18000 4.83000 Anleihe
MTU AERO ENG.WA 16/23 1005236 DE000A2AAQB8 000A2AAQB 166.79500 0.12500 Anleihe
TREASURY STK 2040 INF.LIN 539200 GB00B3LZBF68 000A1AS4B 166.00200 0.62500 Variable Coupon Bond
SPANIEN 13-44 767798 ES00000124H4 000A1HR6Q 164.94000 5.15000 Anleihe
ABIGROVE 16/21 CV 869920 XS1403868398 000A180XD 164.90000 0.50000 Anleihe
BUNDANL.V. 00/31 665292 DE0001135176 000113517 164.54700 5.50000 Anleihe
ULSTER BK IRELAND 98/UND. 532107 IE0004325514 000451269 164.34000 11.75000 Anleihe
TREASURY STK 2049 539671 GB00B39R3707 000A0T09N 164.22000 4.25000 Anleihe
BUNDANL.V. 05/37 665239 DE0001135275 000113527 164.14300 4.00000 Anleihe
VATTENFALL AB 09/39 MTN 68105 XS0422688019 000A0T8NJ 163.81000 6.87500 Anleihe
SNCF RESEAU 12/62 MTN 844663 XS0757586267 000A1G2B2 163.62000 4.12500 Anleihe
QUEENSLD TREA. CORP. 2030 502629 AU0000XQLQG9 000A0UJPF 163.28000 2.75000 Variable Coupon Bond
PFIZER INC. 09/38 61836 XS0432072022 000A1AHK9 162.67000 6.50000
TREASURY STK 2044 INF.LIN 805671 GB00B7RN0G65 000A1G7XS 162.38800 0.12500 Variable Coupon Bond
BUNDANL.V. 10/42 665138 DE0001135432 000113543 162.22600 3.25000 Anleihe
SNCF RESEAU 02/52 MTN 343941 XS0143739182 000846099 162.00000 5.00000 Anleihe
NSW TREASURY CORP. 2035 3829 AU3TI0000734 000A0UJVA 161.69000 2.50000 Variable Coupon Bond
RUSSIAN FED. 98/28 REGS 363978 XS0088543193 000248505 161.55000 12.75000 Anleihe
STHN WTR SERV.F.07/56 MTN 137772 XS0308998144 000A0N063 161.33000 5.12500 Anleihe
7% MGS 2026 (I) 600 MT0000012675 000A1V1MB 161.32000 7.00000 Anleihe
NEDERLD 05-37 514227 NL0000102234 000A0D2B5 161.27000 4.00000 Anleihe
BELGIQUE 04/35 44 682431 BE0000304130 000A0BCKS 160.93000 5.00000 Anleihe
RUSSIAN FED. 2028 144A 436501 US78307AAE38 000248506 160.90000 12.75000 Anleihe
REP. FSE 04-35 O.A.T. 562852 FR0010070060 000A0AXNP 160.75000 4.75000 Anleihe
LLOYDS BANK 10/40 MTN 23884 XS0543369184 000A1A1E4 160.36000 6.50000 Anleihe
LAND NRW SCHATZ08R899 596109 DE000NRW2WL3 000NRW2WL 160.05000 4.97750 Anleihe
K.F.W. MTN 07/30 INFL.LKD 657579 DE000A0E83A8 000A0E83A 159.63000 2.38000 Variable Coupon Bond
VEOLIA ENVIRONN.03/33 MTN 562878 FR0010033381 000816814 159.34000 6.12500 Anleihe
BELGIQUE 10-41 60 682417 BE0000320292 000A1AWF4 159.06000 4.25000 Anleihe
TREASURY STK 2046 540836 GB00B128DP45 000A0GTJG 158.49000 4.25000 Anleihe
POWER CORP.CAN. 2039 50504 CA739239AC53 000A1ZJQ0 158.40000 8.57000 Anleihe
BRAZIL 00/30 493103 US105756AL40 000453122 158.38000 12.25000 Anleihe
7% MGS 2025 (I) 2224 MT0000012543 000A1Z5ED 158.17000 7.00000 Anleihe