Fonds-Suche

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

Suchergebnis (23 Ergebnisse)

Schuldner WKN Währung Coupon Rendite Rating Fälligkeit Bid Ask
Bayer US Finance II LLC A192ME USD 3,5000% 3,25% Baa1 25.06.2021 102,74
Bayer US Finance II LLC A192MH USD 0,8306% 0,67% Baa1 25.06.2021
Bayer US Finance II LLC A192ML USD 3,8750% 0,94% Baa1 15.12.2023
Bayer US Finance II LLC A192MP USD 1,1939% 0,71% Baa1 15.12.2023
Bayer US Finance II LLC A192MS USD 4,2500% 1,53% Baa1 15.12.2025
Bayer US Finance II LLC A192MV USD 4,3750% 2,40% Baa1 15.12.2028 117,63 118,91
Bayer US Finance II LLC A192MY USD 4,6250% 3,42% Baa1 25.06.2038
Bayer US Finance II LLC A192M1 USD 4,8750% 3,73% Baa1 25.06.2048
Bayer US Finance II LLC A19339 USD 2,2000% 8,24% Baa1 15.07.2022
Bayer US Finance II LLC A193PV USD 3,3750% % Baa1 15.07.2024 108,17
Bayer US Finance II LLC A192MD USD 3,5000% 2,59% 25.06.2021 99,61 100,62
Bayer US Finance II LLC A192MG USD 0,8306% 0,59% 25.06.2021 99,52 100,55
Bayer US Finance II LLC A192MK USD 3,8750% 0,93% 15.12.2023 107,01 108,27
Bayer US Finance II LLC A192MN USD 1,1939% 0,74% 15.12.2023 100,54 102,15
Bayer US Finance II LLC A192MR USD 4,2500% 1,50% 15.12.2025 111,46 112,93
Bayer US Finance II LLC A192MU USD 4,3750% 2,34% 15.12.2028 112,98 114,95
Bayer US Finance II LLC A192MX USD 4,6250% 3,41% 25.06.2038 115,01 116,61
Bayer US Finance II LLC A192M0 USD 4,8750% 3,72% 25.06.2048 119,02 122,38
Bayer US Finance II LLC A193PY USD 2,7500% 0,50% 15.07.2021 99,90 101,06
Bayer US Finance II LLC A193SF USD 2,2000% 7,99% 15.07.2022
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