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Obbligazioni Corporate

Nome
Data scadenza
Ultimo prezzo
Data/Ora
Codice isin
Cedola
Quantità acquisto
Prezzo acquisto
Quantità vendita
Prezzo vendita
Prezzo riferimento precedente
Prezzo Ufficiale precedente
Prezzo Riferimento
Rendimento effettivo
Data emissione
Fase mercato
16/05/202499.74312/03XS16131214220.7510099.3009699.743-43.83107123/05/2017NEG
17/05/2024107.1511/02XS16007049822.375000099.5107.15-2.59114425/05/2017NEG
22/05/2024103.7706/03XS10698360771.8750000102.258103.77--14.747101/04/2016NEG
28/05/202499.39917/10XS10717134702.510099.6100.199100101.6399.399-8.41668419/06/2014NEG
30/05/202499.2820/12FR00130636091.2510099.4100.210099.77599.28-9.60058911/12/2015NEG
10/06/202499.609/01XS18309863261.2520099.5599.810099.70399.6-5.7331620/06/2018NEG
01/07/202497.9721/10XS10829715882.510099.25100.110099.67597.97-7.27249322/08/2014NEG
03/07/2024103.1201/09XS1851277969-10099.1599.8510099.513103.12-6.15832819/07/2018NEG
12/07/202498.35502/01XS16454943751000098.35598.355-8.38974317/07/2017NEG
06/09/202498.5808/03XS13758412331.125000098.11598.58-4.14068603/10/2017NEG
16/09/202498.3428/02XS1550149204110098.8199.2910099.37898.34-4.44390413/03/2017NEG
27/09/202498.7123/09FR00121738622.125000097.9698.71-3.44957509/10/2014NEG
27/09/202498.2615/02AT0000A1Y3P71.3754398.3699.194398.76598.26-5.61173529/09/2017NEG
04/10/202497.920/12XS16938182850.625000097.997.9-5.46618909/10/2017NEG
08/10/2024-31/07FR00121990651.625000095.68101.7-3.26199322/10/2014NEG
14/10/2024105.7411/06XS11211777671.7510098.799.5510099.123105.74-4.73281204/11/2014NEG
24/10/202499.79926/04XS08475803532.7518999.4299.8697099.63799.799-3.99946714/03/2016NEG
06/11/2024--IT0005311417100--9799.64-2.77009406/11/2017NEG
27/11/202499.216/01XS08576624482.375000099.299.2-3.330611/06/2014NEG
29/11/2024-26/07IT00053529084.10700--100.3100--29/11/2018NEG
02/12/202498.330/01XS11476057911.37530098.2199.0930098.6598.3-4.55562130/12/2014NEG
11/12/2024102.520/02XS08629522972.875000097.499.999-7.32512501/04/2016NEG
15/12/20245030/11XS17339589273.2500005050-74.3154914/12/2017NEG
15/12/2024--XS17339733063.2500--100100-4.81294714/12/2017NEG
31/12/2024--IT0005331340-----100100--03/05/2018NEG
31/12/2024--IT0005342693-----100100--24/09/2018NEG
31/12/2024--IT0005275166-----100100--21/07/2017NEG
14/01/202597.524/04FR00124329121.12510097.9798.710098.31897.5-4.13130416/01/2015NEG
21/01/2025104.5108/06XS11703074141.375000095.52104.51-3.90793123/08/2017NEG
24/01/20259610/07XS1724626699210097.3699.7910099.11296-7.62217821/02/2018NEG
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