Anleihen-Suche

Schuldner: Fälligkeit:
Rendite: Anleihe-Typen:
Coupon: Währung:
Rating: Nur Anleihen mit Rating-Information:

Suchergebnis (16 Ergebnisse)

Schuldner WKN Währung Coupon Rendite Rating Fälligkeit Bid Ask
GACI First Investment Co. A3K99M USD 5,2500% 5,29% Aa3 13.10.2032 99,75 100,25
GACI First Investment Co. A3K99L USD 5,0000% 5,17% Aa3 13.10.2027 100,13 100,38
GACI First Investment Co. A3K99N USD 5,3750% 6,60% Aa3 13.10.2122 81,38 82,13
GACI First Investment Co. A3LD4U USD 5,1250% 6,38% Aa3 14.02.2053 84,13 84,63
GACI First Investment Co. A3LD4T USD 4,8750% 5,45% Aa3 14.02.2035 95,88 96,38
GACI First Investment Co. A3LD4S USD 4,7500% 5,12% Aa3 14.02.2030 98,63 99,13
GACI First Investment Co. A3LTWN USD 5,0000% 5,00% Aa3 29.01.2029 99,88 100,38
GACI First Investment Co. A3LTWP USD 5,2500% 5,39% Aa3 29.01.2034 98,88 99,50
GACI First Investment Co. A3LTWQ USD 5,3750% 6,39% Aa3 29.01.2054 86,88 87,63
GACI First Investment Co. A3LZ2P GBP 5,6250% 6,25% Aa3 11.06.2039 94,52 95,16
GACI First Investment Co. A3LZ2N GBP 5,1250% 5,27% Aa3 11.06.2029 99,56 99,74
GACI First Investment Co. A4D54W USD 5,6250% 5,39% Aa3 29.07.2034 101,38 101,75
GACI First Investment Co. A4D54V USD 5,2500% 5,06% Aa3 29.01.2030 100,63 101,25
GACI First Investment Co. A4EG1E USD 5,0000% 5,49% Aa3 15.09.2035 96,38 96,88
GACI First Investment Co. A4EJGY EUR 2,7500% 3,89% 14.10.2028 97,38 97,75
GACI First Investment Co. A4EJGZ EUR 3,3750% 4,17% 14.10.2032 95,50 96,00