Below, a list of constituents for IE00BYPHT736 (iBoxx EUR Corporate Bond Yield Plus UCITS ETF 1D) is shown. In total, IE00BYPHT736 consists of 1401 securities.
Note: The data shown here is as of date 2021-11-14 (the latest that can be sourced directly from the fund provider).
Click here to go back to the full list of ETFs.
Name | ISIN | Country | Currency | Type of Security | Rating | Primary Listing | Industry Classification | Weighting |
TOTAL SA 02/25 EUR36848 | XS1195202822 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0024969662 |
VOLKSWAGEN 03/27 AM962802 | XS1586555945 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0024531251 |
BP CAPITAL MARKETS PLC VAR 31/12/2049 | XS2193661324 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0022918513 |
BNP PARIBAS 01/26 AW746868 | FR0013398070 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0021873278 |
BP CAPITAL MARKETS PLC 12/99 1 | XS2193662728 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0021335905 |
WELLS FARGO & CO 10/26 EUR51997 | XS1400169931 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0019975346 |
VOLKSWAGEN 06/27 AN880326 | XS1629774230 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0019770096 |
MORGAN STANLEY DEAN WITTER 04/27 AN318761 | XS1603892149 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0019586825 |
GOLDMAN SACHS GROUP INC 3/25 | XS2149207354 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0019344884 |
AXA SA FRN + 3.250% 2049-05-28 | XS1799611642 | Frankreich | EUR | Bond | - | - | unknown | 0.0019164022 |
GENERAL ELECTRIC CO 05/25 AN549336 | XS1612542826 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0018612091 |
HSBC HOLDING PLC 09/24 EUR52988 | XS1485597329 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0018600924 |
WELLS FARGO & CO 02/27 EUR52846 | XS1463043973 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.001857266 |
BARCLAYS PLC SR UNSECURED REGS 04/25 VAR 4/25 | XS2150054026 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0018566056 |
J.P. MORGAN & CO INC 03/26 AX452259 | XS1960248919 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0018533497 |
CREDIT AGRICOLE SA 03/27 EUR37308 | XS1204154410 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0018488599 |
AT&T INC 5/28 | XS2180007549 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0017908801 |
J.P. MORGAN & CO INC 05/27 AN575183 | XS1615079974 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0017885429 |
TAKEDA PHARMACEUTICAL CO LT 11/30 AV647131 | XS1843449395 | Japan | EUR | Bond | Baa2 | - | unknown | 0.0017769634 |
CREDIT SUISSE GROUP AG SR UNSECURED REGS 04/26 VAR 4/25 | CH0537261858 | Schweiz | EUR | Bond | - | - | unknown | 0.0017373082 |
GOLDMAN SACHS GROUP INC 07/26 EUR52810 | XS1458408561 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0017233741 |
MORGAN STANLEY 10/29 | XS2250008245 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0016771019 |
ELECTRICITE DE FRANCE 04/30 | FR0010891317 | Frankreich | EUR | Bond | A3 | CAC All-Tradable Index | unknown | 0.0016757664 |
BAYER CAPITAL CORP BV 06/26 AT182306 | XS1840618059 | Deutschland | EUR | Bond | - | - | unknown | 0.0016729781 |
DEUTSCHE BANK AG | DE000DL19U23 | Deutschland | EUR | Bond | - | - | unknown | 0.001661672 |
CITIGROUP INC 07/25 AT634853 | XS1859010685 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0016606187 |
VOLKSWAGEN 03/26 | XS1048428442 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.001648766 |
UBS GROUP FUNDING SWITZERLAND AG 1.250% 2025-04-17 | CH0409606354 | Schweiz | EUR | Bond | - | - | unknown | 0.0016354711 |
EURO CURRENCY | _CURRENCYEUR | - | EUR | Cash | - | - | unknown | 0.001620585 |
BANK OF AMERICA CORP SR UNSECURED REGS 03/29 VAR 3/29 | XS2148370211 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0016168154 |
WELLS FARGO & CO 04/26 EUR43016 | XS1310934382 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.001597125 |
BBG010GVGRN0 MORGAN STANLEY SR UNSECURED 10/27 VAR 10/27 | XS2338643740 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0015806906 |
ROYAL BANK OF SCOTLAND 03/25 AR504024 | XS1788515606 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0015583409 |
UBS GROUP AG | CH0520042489 | Schweiz | EUR | Bond | - | - | unknown | 0.001545685 |
BBG00YZH3CR0 GOLDMAN SACHS GROUP INC/THE 1/28 | XS2292954893 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0015433502 |
AXA SA 07/27 EUR51801 | XS1346228577 | Frankreich | EUR | Bond | A3 | - | unknown | 0.001538916 |
TAKEDA PHARMACEUTICAL CO LT 11/26 AV647023 | XS1843449122 | Japan | EUR | Bond | - | - | unknown | 0.0015260468 |
LLOYDS BANKING GROUP PLC SR UNSECURED REGS 04/26 VAR 4/26 | XS2148623106 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0015122367 |
ASSICURAZIONI GENERALI SPA 11/25 EUR33756 | XS1140860534 | Italien | EUR | Bond | Ba1 | - | unknown | 0.0015100739 |
VODAFONE GROUP PLC 01/24 AU654481 | XS1888179477 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0015061479 |
BBG01135CMX3 BANK OF AMERICA CORP 5/32 | XS2345798271 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0014951284 |
TOTAL SA 10/26 EUR53256 | XS1501166869 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0014893644 |
HSBC HOLDING PLC 06/25 EUR39529 | XS1254428896 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0014878095 |
VOLKSWAGEN INTL FIN NV COMPANY GUAR REGS 12/99 VAR | XS2187689380 | Niederlande | EUR | Bond | - | - | unknown | 0.0014877459 |
CREDIT AGRICOLE LONDON | XS1958307461 | Frankreich | EUR | Bond | - | - | unknown | 0.0014701219 |
ALLIANZ FINANCE BV 10/23 | DE000A1YCQ29 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0014680114 |
MORGAN STANLEY DEAN WITTER 10/26 EUR53532 | XS1511787589 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0014579007 |
AT+T INC | XS1907120528 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0014550853 |
VOLKSWAGEN INTERNATIONAL FINAN | XS2187689034 | Niederlande | EUR | Bond | - | - | unknown | 0.0014510487 |
AT&T INC 03/24 | XS1076018131 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.001449632 |
ALLIANZ FINANCE BV 07/25 EUR37947 | DE000A14J9N8 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0014418701 |
BNP PARIBAS SA 1.375% 2029-05-28 | FR0013422011 | Frankreich | EUR | Bond | - | - | unknown | 0.001436745 |
BBG00Y47ZV53 DEUTSCHE BANK AG 11/30 | DE000DL19VS4 | Deutschland | EUR | Bond | - | - | unknown | 0.0014263177 |
CITIGROUP INC 1.250% 2029-04-10 | XS1980064833 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0014259023 |
SPAIN 1/26 | XS2168647357 | Spanien | EUR | Bond | - | - | unknown | 0.0014203345 |
UNITED STATES 7/26 | XS2167003685 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.001410067 |
BAYER AG 1/30 | XS2199266268 | Deutschland | EUR | Bond | - | - | unknown | 0.0014057992 |
CREDIT AGRICOLE SA 4/26 | FR0013508512 | Frankreich | EUR | Bond | - | - | unknown | 0.0013977989 |
BAYER AG 1/27 | XS2199266003 | Deutschland | EUR | Bond | - | - | unknown | 0.0013870132 |
TOTAL SA 04/24 AX895488 | XS1974787480 | Frankreich | EUR | Bond | - | - | unknown | 0.0013862954 |
BBG00Y47ZV08 DEUTSCHE BANK AG 11/25 | DE000DL19VR6 | Deutschland | EUR | Bond | - | - | unknown | 0.0013851274 |
IBERDROLA INTERNATIONAL BV | XS2244941063 | Niederlande | EUR | Bond | - | - | unknown | 0.0013845216 |
HSBC HOLDING PLC 03/27 EUR51642 | XS1379184473 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0013816976 |
BAYER AG 7/24 | XS2199265617 | Deutschland | EUR | Bond | - | - | unknown | 0.0013772571 |
SOCIETE GENERALE SA | FR0013479276 | Frankreich | EUR | Bond | - | - | unknown | 0.0013752472 |
BBG00Z6B5H26 DEUTSCHE BANK AG 2/32 | DE000DL19VU0 | Deutschland | EUR | Bond | - | - | unknown | 0.001368792 |
BBG01173CDF4 BANQUE FEDCRED MUTUEL 11/28 | FR0014003SA0 | Frankreich | EUR | Bond | - | - | unknown | 0.0013646803 |
BBG00Z6B5GY3 DEUTSCHE BANK AG 2/27 | DE000DL19VT2 | Deutschland | EUR | Bond | - | - | unknown | 0.0013646373 |
BBG0113594R4 CREDIT SUISSE AG/LONDON 1/26 | XS2345982362 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.001359151 |
DAIMLERCHRYSLER NORTH AMER 07/29 AO113890 | DE000A2GSCW3 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0013590671 |
BBG00YYXH4V4 TOTAL SE | XS2290960520 | Frankreich | EUR | Bond | - | - | unknown | 0.0013529738 |
UNITED STATES 5/30 | XS2167007918 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0013491412 |
BANK OF AMERICA CORP 05/26 AN290126 | XS1602547264 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0013423938 |
ENI SPA | XS2242931603 | Italien | EUR | Bond | - | - | unknown | 0.0013408681 |
FRANCE TELECOM 10/26 EUR33025 | XS1115498260 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0013322589 |
VOLKSWAGEN 03/30 EUR37541 | XS1206541366 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0013321938 |
AT&T INC 03/23 | XS0903433513 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0013320561 |
2.75% AEROPORTS DE PARIS 04/30 | FR0013505633 | Frankreich | EUR | Bond | - | - | unknown | 0.0013281497 |
BBG00Z4GQNK1 MORGAN STANLEY 2/31 | XS2292263121 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0013236711 |
CREDIT SUISSE FIRST BOSTON 07/24 AO297106 | CH0343366842 | Schweiz | EUR | Bond | - | - | unknown | 0.001323544 |
BBG00YRF0C32 ING GROEP NV 2/30 | XS2281155254 | Niederlande | EUR | Bond | - | - | unknown | 0.0013150846 |
WELLS FARGO & CO 05/27 AN629973 | XS1617830721 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0013097683 |
MUNICH RE 05/29 AV577281 | XS1843448314 | Deutschland | EUR | Bond | - | - | unknown | 0.0013013253 |
BAYER CORP 07/24 | DE000A11QR73 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0013000844 |
ENI SPA | XS2242929532 | Italien | EUR | Bond | - | - | unknown | 0.0012977979 |
VOLKSWAGEN 06/28 AT214434 | XS1799939027 | Deutschland | EUR | Bond | - | - | unknown | 0.0012924884 |
JPMORGAN CHASE + CO | XS2033262622 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012825839 |
ASSICURAZIONI GENERALI SPA 10/27 EUR43073 | XS1311440082 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0012760274 |
UBS GROUP AG 11/28 | CH0576402181 | Schweiz | EUR | Bond | - | - | unknown | 0.0012747504 |
JPMORGAN CHASE + CO SR UNSECURED REGS 02/28 VAR 2/28 | XS2123320033 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012712847 |
CREDIT SUISSE GROUP AG | CH0517825276 | Schweiz | EUR | Bond | - | - | unknown | 0.0012692493 |
ELECTRICITE DE FRANCE 10/30 AU669907 | FR0013368545 | Frankreich | EUR | Bond | - | - | unknown | 0.0012690322 |
BAYER CAPITAL CORP BV 12/29 AT182324 | XS1840618216 | Deutschland | EUR | Bond | - | - | unknown | 0.0012614746 |
UNICREDIT SPA 6/26 | XS2190134184 | Italien | EUR | Bond | - | - | unknown | 0.0012609365 |
INTESA 09/23 | XS0971213201 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0012606347 |
ELECTRICITE DE FRANCE 01/25 | FR0011401751 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0012577617 |
BANCO SANTANDER SA 04/26 EUR51716 | XS1384064587 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0012571101 |
BBG00ZL4N0W9 INTESA SANPAOLO SPA 3/28 | XS2317069685 | Italien | EUR | Bond | - | - | unknown | 0.0012513697 |
BBG00ZS95YX6 STELLANTIS NV 3/27 | XS2325733413 | Niederlande | EUR | Bond | - | - | unknown | 0.0012502487 |
ING BANK 09/28 AU539693 | XS1882544973 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0012477043 |
SOCIETE GENERALE 09/28 AU654127 | FR0013368602 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0012380324 |
BBG011F3QB00 NWG 0.125 06/18/26 EMTN 6/26 | XS2355599197 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0012378136 |
BAC V0.654 10/26/31 10/31 | XS2248451978 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012372096 |
TELEFONICA EMISONES SAU 01/28 AP029499 | XS1681521081 | Spanien | EUR | Bond | - | - | unknown | 0.001229788 |
AIRBUS SE 6/30 | XS2185867913 | Niederlande | EUR | Bond | - | - | unknown | 0.0012280737 |
"BANK OF AMERICA CORPORATION" 5/26 | XS1991265478 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012273294 |
KRAFT HEINZ FOODS CO 05/28 EUR52209 | XS1405784015 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0012268522 |
CREDIT AGRICOLE SA 12/26 EUR54465 | XS1538284230 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0012214835 |
FIAT CHRYSLER AUTOMOBILE SR UNSECURED REGS 01/26 3.875 1/26 | XS2178833773 | Niederlande | EUR | Bond | - | - | unknown | 0.0012214126 |
FIDELITY NATIONAL INFORMATION SERVICES INC 1.500% 2027-05-21 | XS1843436228 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012186747 |
SOCIETE GENERALE 02/25 EUR36846 | XS1195574881 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0012183748 |
ALLIANZ FINANCE BV 09/24 EUR32830 | DE000A13R7Z7 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0012174983 |
GOLDMAN SACHS GROUP INC 02/31 EUR50910 | XS1362373224 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0012131786 |
BANCO SANTANDER SA 03/25 EUR37203 | XS1201001572 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0012127147 |
BNP PARIBAS 02/25 EUR36672 | XS1190632999 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0012106314 |
SOCIETE GENERALE 03/29 AX728238 | FR0013410818 | Frankreich | EUR | Bond | - | - | unknown | 0.0012103058 |
CREDIT AGRICOLE SA 03/29 AX751474 | XS1968706108 | Frankreich | EUR | Bond | - | - | unknown | 0.001209905 |
GENERAL ELECTRIC CO 05/29 AN549645 | XS1612543121 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0012087332 |
INTESA SANPAOLO SPA SR UNSECURED REGS 05/25 2.125 5/25 | XS2179037697 | Italien | EUR | Bond | - | - | unknown | 0.001207443 |
BANCO SANTANDER SA 02/28 AR050170 | XS1767931121 | Spanien | EUR | Bond | - | - | unknown | 0.0012070812 |
BANK OF AMERICA CORP FRN + 1.662% 2028-04-25 | XS1811435251 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012032877 |
BBG0120QN8H5 BACR V0.577 08/09/29 8/29 | XS2373642102 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0012030321 |
BBG010SLSHG6 BARCLAYS PLC 5/32 | XS2342060360 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0012004351 |
VOLKSWAGEN 06/24 AT214421 | XS1799938995 | Niederlande | EUR | Bond | - | - | unknown | 0.001198465 |
ING GROEP NV 5/31 | XS2176621170 | Niederlande | EUR | Bond | - | - | unknown | 0.001191248 |
BRITISH AMERICAN TOBACCO 01/30 AO704304 | XS1664644983 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0011907183 |
BANK OF AMERICA CORP FRN + 1.381% 2030-05-09 | XS1991265395 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011897917 |
IBM CORP 01/31 AW898686 | XS1945110861 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011881688 |
2% CREDIT AGRICOLE ASSURANCES 7/30 | FR0013523602 | Frankreich | EUR | Bond | - | - | unknown | 0.0011857756 |
FORD MOTOR CREDIT 03/24 AX451749 | XS1959498160 | Vereinigte Staaten von Amerika | EUR | Bond | Ba2 | - | unknown | 0.0011843883 |
BP CAPITAL MARKETS PLC 1.231% 2031-05-08 | XS1992927902 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0011839647 |
AT+T INC | XS1907120791 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011814064 |
CAIXABANK SA 1.375% 2026-06-19 | XS2013574038 | Spanien | EUR | Bond | - | - | unknown | 0.0011769873 |
FRANCE TELECOM 02/24 | XS1028599287 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0011742864 |
BNP PARIBAS 01/27 EUR52889 | XS1470601656 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0011731118 |
VOLKSWAGEN INTERNATIONAL FINAN 9/28 | XS2234567233 | Niederlande | EUR | Bond | - | - | unknown | 0.001172289 |
"ABBVIE INC" 5/24 | XS1520899532 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0011719739 |
SOCIETE GENERALE 01/25 AQ804061 | FR0013311503 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0011706384 |
ZF NORTH AMERICA CAPITAL INC 4/23 | DE000A14J7G6 | Deutschland | EUR | Bond | Ba1 | - | unknown | 0.0011682156 |
BBG01135WSM0 RYANAIR DAC 5/26 | XS2344385815 | Irland | EUR | Bond | - | - | unknown | 0.0011664972 |
BNP PARIBAS SA 4/29 | FR0013508710 | Frankreich | EUR | Bond | - | - | unknown | 0.001165275 |
UNICREDIT SPA FRN + 1.250% 2025-06-25 | XS2017471553 | Italien | EUR | Bond | - | - | unknown | 0.0011651544 |
INTESA SANPAOLO SPA | XS2081018629 | Italien | EUR | Bond | - | - | unknown | 0.0011596318 |
VOLKSWAGEN 12/22 AN880322 | XS1629658755 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0011585538 |
BARCLAYS PLC 02/23 AO968337 | XS1678970291 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.001156656 |
BPCE SA 0.625% 2024-09-26 | FR0013429073 | Frankreich | EUR | Bond | - | - | unknown | 0.0011554859 |
IBERDROLA INTERNATIONAL B.V. | XS2244941147 | Niederlande | EUR | Bond | - | - | unknown | 0.001155142 |
ALTRIA GROUP INC | XS1843443786 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011539786 |
CREDIT SUISSE GROUP AG 1.000% 2027-06-24 | CH0483180946 | Schweiz | EUR | Bond | - | - | unknown | 0.0011537069 |
DANONE (GROUPE) 06/23 AP691131 | FR0013292828 | Frankreich | EUR | Bond | - | - | unknown | 0.0011533449 |
J.P. MORGAN & CO INC 06/28 AS959233 | XS1835955474 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0011526885 |
CAIXABANK SA 10/24 | XS2055758804 | Spanien | EUR | Bond | - | - | unknown | 0.0011500776 |
COMMERZBANK AG | DE000CZ40NS9 | Deutschland | EUR | Bond | - | - | unknown | 0.0011473578 |
UNICREDIT SPA 09/29 1 9/24 | XS2055089457 | Italien | EUR | Bond | - | - | unknown | 0.0011442134 |
BBG00ZN66SM1 BANK OF AMERICA CORP 3/31 | XS2321427408 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011431946 |
FIAT CHRYSLER AUTOMOBILES NV 7/23 | XS2178832379 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0011424373 |
CITIGROUP INC 10/28 EUR53493 | XS1457608286 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.001141147 |
CITIGROUPINC | XS2063232727 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011359762 |
BPCE 9/27 | FR0013534674 | Frankreich | EUR | Bond | - | - | unknown | 0.0011344031 |
EMIRATES TELECOMMUNICATIONS 06/26 | XS1077882394 | Vereinigte Arabische Emirate | EUR | Bond | Aa3 | - | unknown | 0.0011339964 |
BANCO SANTANDER SA | XS2113889351 | Spanien | EUR | Bond | - | - | unknown | 0.0011333444 |
BANCO BILBAO VIZCAYA ARG | XS2101349723 | Spanien | EUR | Bond | - | - | unknown | 0.0011318761 |
BNP PARIBAS SA 2/28 | FR0013484458 | Frankreich | EUR | Bond | - | - | unknown | 0.0011302385 |
BBG00ZNQ80K8 TRATON FINANCE LUXEMBOURG SA 3/29 | DE000A3KNP96 | Luxemburg | EUR | Bond | - | - | unknown | 0.001128976 |
RWE AG 07/29 AQ916316 | XS1761785077 | Deutschland | EUR | Bond | - | - | unknown | 0.0011280599 |
GOLDMAN SACHS GROUP INC 11/28 AT743653 | XS1861206636 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0011279732 |
BBG011F3Y568 STELLANTISNV 1/29 | XS2356040357 | Niederlande | EUR | Bond | - | - | unknown | 0.0011245758 |
TEVA PHARMA FIN NL II 03/23 EUR37773 | XS1211040917 | Niederlande | EUR | Bond | Ba2 | - | unknown | 0.0011216989 |
BANQUE FEDCRED MUTUEL 2/31 | FR00140007J7 | Frankreich | EUR | Bond | - | - | unknown | 0.0011210132 |
ANHEUSER-BUSCH INBEV NV/SA 4/30 | BE6276040431 | Belgien | EUR | Bond | A3 | - | unknown | 0.0011196427 |
UNIBAIL RODAMCO SE FRN + 2.125% PERP | FR0013330529 | Frankreich | EUR | Bond | - | - | unknown | 0.0011189628 |
BBG00Z4RY8J3 BANCO SANTANDER SA 2/28 | XS2298304499 | Spanien | EUR | Bond | - | - | unknown | 0.001118899 |
AUTOSTRADE SPA 07/27 AO149596 | XS1645722262 | Italien | EUR | Bond | - | - | unknown | 0.0011126384 |
BBG00Y4N68J6 ING GROEP NV 2/29 | XS2258452478 | Niederlande | EUR | Bond | - | - | unknown | 0.0011071438 |
WELLS FARGO & CO 06/24 | XS1074382893 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0011019288 |
VOLKSWAGEN 11/30 AV622518 | XS1910948329 | Deutschland | EUR | Bond | - | - | unknown | 0.0010982149 |
BBG00YRSJBM5 BPCE SA 1/31 | FR0014001G37 | Frankreich | EUR | Bond | - | - | unknown | 0.0010944353 |
VERIZON COMMUNICATIONS INC 11/28 EUR53563 | XS1405766624 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0010861251 |
TEVA PHARMA FIN NL II 10/24 EUR52814 | XS1439749281 | Niederlande | EUR | Bond | Ba2 | - | unknown | 0.0010857009 |
INTESA SANPAOLO SPA 1.750% 2028-03-20 | XS1785340172 | Italien | EUR | Bond | - | - | unknown | 0.0010829527 |
GOLDMAN SACHS GROUP INC 09/24 EUR33083 | XS1116263325 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0010825846 |
BBG011C64G81 ENEL FINANCE INTL NV 6/30 | XS2353182293 | Niederlande | EUR | Bond | - | - | unknown | 0.0010807965 |
DEUTSCHE BANK AG 02/25 EUR36648 | DE000DB7XJJ2 | Deutschland | EUR | Bond | Ba2 | - | unknown | 0.0010789333 |
1.875% GLENCORE FIN. EUROPE 09/23 | XS1489184900 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0010746651 |
BNP PARIBAS 11/25 AN551050 | XS1614416193 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0010740994 |
VERIZON COMMUNICATIONS INC 1.250% 2030-04-08 | XS1979280937 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0010703288 |
NN GROUP NV 01/28 EUR54606 | XS1550988643 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.0010660745 |
BRITISH TELECOMMUNICATIONS 11/24 AQ026465 | XS1720922175 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0010650169 |
COMMERZBANK AG | DE000CZ45VC5 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0010620012 |
0,875% GOLDMAN SACHS SR UNSECURED REGS 01/30 | XS2107332640 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0010602594 |
FIAT CHRYSLER AUTOMOBILE SR UNSECURED REGS 07/28 4.5 7/28 | XS2199351375 | Niederlande | EUR | Bond | - | - | unknown | 0.0010601744 |
BNP PARIBAS 06/26 AQ609781 | XS1748456974 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0010584771 |
WELLS FARGO & CO 0.500% 2024-04-26 | XS1987097430 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.001056985 |
LA MONDIALE VIE 12/25 EUR34559 | XS1155697243 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0010478126 |
BBG00ZF997W6 EASYJET FINCO BV 3/28 | XS2306601746 | Niederlande | EUR | Bond | - | - | unknown | 0.0010457539 |
DEUTSCHE BANK AG 5/26 | DE000DL40SR8 | Deutschland | EUR | Bond | Ba2 | - | unknown | 0.0010408547 |
DAIMLERCHRYSLER NORTH AMER 05/28 EUR52139 | DE000A169NC2 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0010392826 |
FEDERAL EXPRESS CORP 01/27 31428XBL | XS1319820541 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0010389207 |
ASSICURAZIONI GENERALI SPA 05/26 | XS1062900912 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0010374924 |
STATE GRID OVERSEAS INVESTM 26 0.797 8/26 | XS2152902719 | Virgin Island (Brit.) | EUR | Bond | - | - | unknown | 0.0010350678 |
BANCO BILBAO VIZCAYA SA 02/27 EUR54781 | XS1562614831 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0010297334 |
GROUPAMA SA 05/24 EUR27938 | FR0011896513 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0010275603 |
EADS NV 04/24 | XS1050846507 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0010274449 |
SKANDINAVISKA ENSKILDA BANKEN 2/27 | XS2115094737 | Schweden | EUR | Bond | - | - | unknown | 0.001025078 |
BBG01221ZMN7 VOLKSWAGENFIN SERV AG 2/27 | XS2374595044 | Deutschland | EUR | Bond | - | - | unknown | 0.0010237648 |
ST GOBAIN NEDERLAND BV 03/31 AX543404 | XS1962571011 | Frankreich | EUR | Bond | - | - | unknown | 0.0010209232 |
NETHERLANDS 4/28 | XS2153597518 | Niederlande | EUR | Bond | - | - | unknown | 0.0010177694 |
2% ENI SPA 05/31 | XS2176785447 | Italien | EUR | Bond | - | - | unknown | 0.0010159124 |
DEUTSCHE TELEKOM AG 03/31 AX644544 | DE000A2TSDE2 | Deutschland | EUR | Bond | - | - | unknown | 0.0010129364 |
BNP PARIBAS CARDIF SA 11/25 EUR33802 | FR0012329845 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0010124015 |
ELECTRICITE DE FRANCE 01/26 | FR0011697028 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0010107989 |
BANCO SANTANDER SA 01/27 EUR54560 | XS1548444816 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0010098903 |
HOLCIM LTD 05/28 EUR52280 | XS1420338102 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0010080628 |
VODAFONE GROUP PLC 07/31 EUR52847 | XS1463101680 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0010017042 |
ENI SPA 01/29 | XS1023703090 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0010000753 |
BRITISH TELECOMMUNICATIONS 03/26 EUR51617 | XS1377679961 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0009980658 |
2.75% PEUGEOT SA 5/26 | FR0013512944 | Niederlande | EUR | Bond | - | - | unknown | 0.0009972424 |
BBG010RRZSP2 ENI SPA JR SUBORDINA REGS 12/99 VAR | XS2334852253 | Italien | EUR | Bond | - | - | unknown | 0.0009970455 |
VOLKSWAGEN BANK AG 07/26 AW899201 | XS1944390597 | Deutschland | EUR | Bond | - | - | unknown | 0.0009967544 |
BBG00ZN67MG0 BARCLAYS PLC 3/31 | XS2321466133 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0009962165 |
SWITZERLAND 4/26 | XS2154325489 | Schweiz | EUR | Bond | - | - | unknown | 0.0009951733 |
BBG010Z76953 SWEDBANK AB 5/27 | XS2343563214 | Schweden | EUR | Bond | - | - | unknown | 0.0009942312 |
BBG010Z1FWD6 NORDEA BANK ABP SUBORDINATED REGS 08/31 VAR 8/31 | XS2343459074 | Finnland | EUR | Bond | - | - | unknown | 0.0009939432 |
ABERTIS INFRAESTRUCTURAS SA 09/27 AX729354 | XS1967635977 | Spanien | EUR | Bond | - | - | unknown | 0.0009933436 |
CREDIT AGRICOLE ASSURANCES 01/25 EUR35291 | FR0012444750 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0009928446 |
NN GROUP NV 04/24 | XS1054522922 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.000992828 |
AXA SA 11/24 EUR33642 | XS1134541306 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0009918578 |
MEDTRONIC GLOBAL HOLDINGS 03/31 AX498902 | XS1960678412 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009908607 |
BBG00ZV9R918 AXA SA 10/41 | XS2314312179 | Frankreich | EUR | Bond | - | - | unknown | 0.0009901571 |
BBG010SM32C8 WESTPAC BANKING CORP 5/31 | XS2342206591 | Australien | EUR | Bond | - | - | unknown | 0.0009887745 |
BBG010WG85S7 BORWARNERINC 5/31 | XS2343846940 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009877242 |
2.875% AUCHAN HLDGS. 01/26 | FR0013510179 | Frankreich | EUR | Bond | - | - | unknown | 0.0009876239 |
BBG00ZN6F3L7 VERIZON COMMUNICATIONS 3/29 | XS2320759538 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009873821 |
DIGITAL EURO FINCO 01/26 AW661655 | XS1891174341 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009859811 |
FIAT CHRYSLER AUTOMOBILES NV 3/24 | XS1388625425 | Großbritannien (UK) | EUR | Bond | Baa3 | - | unknown | 0.0009858932 |
ANHEUSER-BUSCH INBEV SA/ 03/31 AX890210 | BE6312822628 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.0009844307 |
GENERAL ELECTRIC CO 05/27 EUR38780 | XS1238902057 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0009835757 |
VODAFONE GROUP PLC 1.625% 2030-11-24 | XS2002018500 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0009820321 |
EADS NV 05/31 EUR52170 | XS1410582313 | Frankreich | EUR | Bond | A2 | - | unknown | 0.000981675 |
ING BANK 01/26 AW534944 | XS1933820372 | Niederlande | EUR | Bond | - | - | unknown | 0.0009809093 |
VOLKSWAGEN 01/30 EUR35294 | XS1167667283 | Deutschland | EUR | Bond | A3 | - | unknown | 0.000980199 |
MERCK KGAA FRN + 2.875% 2079-06-25 | XS2011260705 | Deutschland | EUR | Bond | - | - | unknown | 0.0009797747 |
BANQUE FED CRED MUTUEL 03/26 EUR51755 | XS1385945131 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0009783679 |
UNICREDITO ITALIANO SPA 10/26 EUR53466 | XS1508450688 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0009781695 |
UNIBAIL 01/31 AS464353 | FR0013332996 | Frankreich | EUR | Bond | - | - | unknown | 0.000977564 |
AQUARIUS AND INV ZURICH 10/23 | XS0897406814 | Schweiz | EUR | Bond | A2 | - | unknown | 0.0009775162 |
UNICREDIT SPA SUBORDINATED REGS 02/29 VAR 02/24 BJHGSRII7 | XS1953271225 | Italien | EUR | Bond | - | - | unknown | 0.0009760592 |
LLOYDS TSB BANK PLC 09/27 AP029185 | XS1681050610 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000973733 |
GAZ DE FRANCE 02/25 AW770805 | FR0013398229 | Frankreich | EUR | Bond | - | - | unknown | 0.0009734448 |
TDF INFRASTRUCTURE SAS 04/26 EUR51831 | FR0013144201 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0009730368 |
CK HUTCHISON GROUP | XS2057069093 | Hong Kong | EUR | Bond | - | - | unknown | 0.0009706979 |
BPCE SA 01/28 AQ869160 | FR0013312501 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0009676925 |
INTESA SANPAOLO SPA 1.750% 2029-07-04 | XS2022424993 | Italien | EUR | Bond | - | - | unknown | 0.0009667979 |
BANQUE FEDERATIVE DU CREDIT MUTUEL SA 1.875% 2029-06-18 | FR0013425162 | Frankreich | EUR | Bond | - | - | unknown | 0.0009654106 |
ELECTRICITE DE FRANCE 10/24 AU669900 | FR0013367612 | Frankreich | EUR | Bond | - | - | unknown | 0.0009650454 |
CREDIT AGRICOLE ASSURANCES 01/28 AQ804746 | FR0013312154 | Frankreich | EUR | Bond | - | - | unknown | 0.0009641866 |
DAIMLER AG | DE000A2TR083 | Deutschland | EUR | Bond | - | - | unknown | 0.0009640533 |
ALLIANZ SE SUBORDINATED REGS 07/50 VAR 7/30 | DE000A254TM8 | Deutschland | EUR | Bond | - | - | unknown | 0.0009636223 |
NETHERLANDS 10/24 | XS2153593103 | Niederlande | EUR | Bond | - | - | unknown | 0.0009625059 |
"MYLAN NV" 11/24 | XS1492457665 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0009621389 |
UNICREDIT SPA 7/27 | XS2207976783 | Italien | EUR | Bond | - | - | unknown | 0.0009596374 |
BBG00ZHXXZL4 ENEL SPA | XS2312744217 | Italien | EUR | Bond | - | - | unknown | 0.0009587364 |
ING BANK 01/28 AQ219020 | XS1730885073 | Niederlande | EUR | Bond | - | - | unknown | 0.0009584253 |
AT+T INC SR UNSECURED 03/30 0.8 3/30 | XS2051362072 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000957349 |
DEUTSCHE BANK AG 01/28 AQ688740 | DE000DL19T26 | Deutschland | EUR | Bond | - | - | unknown | 0.0009552561 |
GAZ CAPITAL SA 11/23 | XS1521039054 | Russland | EUR | Bond | Ba1 | - | unknown | 0.0009529015 |
AROUNDTOWN PROPERTY HOLDING 01/28 AQ916432 | XS1761721262 | Deutschland | EUR | Bond | - | - | unknown | 0.0009490392 |
BPCE SA 1.375% 2026-03-23 | FR0013323664 | Frankreich | EUR | Bond | - | - | unknown | 0.0009489616 |
CAIXABANK SA FRN + 2.250% 2030-04-17 | XS1808351214 | Spanien | EUR | Bond | - | - | unknown | 0.0009487188 |
LOGICOR FINANCING SARL | XS2027364327 | Luxemburg | EUR | Bond | - | - | unknown | 0.0009482892 |
NATIONWIDE BUILDING SOCIETY 07/24 AO407164 | XS1651453729 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0009461626 |
ORANGE SA FRN + 2.375% PERP | FR0013413887 | Frankreich | EUR | Bond | - | - | unknown | 0.000945697 |
ING BANK 04/23 AN218079 | XS1590823859 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.000944097 |
CAP GEMINI SA 07/23 EUR39533 | FR0012821940 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0009422815 |
VOLKSWAGEN AG 01/25 AO167224 | XS1642590480 | Deutschland | EUR | Bond | - | - | unknown | 0.0009421441 |
1.25% CREDIT MTUEL ARKEA 6/29 | FR0013517307 | Frankreich | EUR | Bond | - | - | unknown | 0.0009420054 |
AUTOSTRADE PER L'ITALIA SPA 06/26 EUR44551 | XS1327504087 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0009407006 |
UPJOHN FINANCE BV 6/27 | XS2193982803 | Niederlande | EUR | Bond | - | - | unknown | 0.0009401145 |
BRITISH TELECOMMUNICATIONS 06/27 AO042243 | XS1637333748 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0009397354 |
BARCLAYS PLC 01/25 AQ825885 | XS1757394322 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0009397187 |
BNP PARIBAS SA 1.625% 2031-07-02 | FR0013431277 | Frankreich | EUR | Bond | - | - | unknown | 0.0009372163 |
DAIMLER AG 1.45% 10/09/30 EUR REGS 9/30 | DE000A289QR9 | Deutschland | EUR | Bond | - | - | unknown | 0.0009371842 |
AXA SA 10/25 | XS1069439740 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0009368502 |
BANCO SANTANDER SA 01/25 AQ688602 | XS1751004232 | Spanien | EUR | Bond | - | - | unknown | 0.0009349829 |
COMMERZBANK AG 03/26 EUR51735 | DE000CZ40LD5 | Deutschland | EUR | Bond | Ba1 | - | unknown | 0.0009343487 |
ING BANK 09/24 AP220562 | XS1689540935 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.0009343298 |
DEUTSCHE BANK AG 03/25 EUR37309 | DE000DB7XJP9 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0009331872 |
CK HUTCHISON GROUP | XS2057069762 | Hong Kong | EUR | Bond | - | - | unknown | 0.0009330763 |
1,25% SOCIETE GENERALE SA 6/30 | FR0013518057 | Frankreich | EUR | Bond | - | - | unknown | 0.0009328306 |
NETHERLANDS 5/28 | XS2168285000 | Niederlande | EUR | Bond | - | - | unknown | 0.0009328174 |
ABERTIS INFRAESTRUCTURAS 03/28 1.125 3/28 | XS2055651918 | Spanien | EUR | Bond | - | - | unknown | 0.0009269163 |
WINTERSHALL DEA FINANCE BV 9/25 | XS2054209833 | Deutschland | EUR | Bond | - | - | unknown | 0.0009249765 |
IBERDROLA 05/23 AQ026565 | XS1721244371 | Spanien | EUR | Bond | - | - | unknown | 0.0009246729 |
AMERICA MOVIL SAB DE CV 0.750% 2027-06-26 | XS2006277508 | Mexiko | EUR | Bond | - | - | unknown | 0.000924621 |
CAIXABANK SA 7/26 | XS2200150766 | Spanien | EUR | Bond | - | - | unknown | 0.0009245609 |
BBG011PQH2W3 AMERICAN HONDA FINANCE 7/28 | XS2363117321 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009233781 |
STRYKER CORP | XS2087639626 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009227339 |
MMS USA FINANCING INC 0.625% 2025-06-13 | FR0013425139 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009225523 |
THERMO FISHER SCIENTIFIC SR UNSECURED 03/28 0.5 3/28 | XS2058556536 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009225011 |
BANCO DE SABADELL SA | XS2028816028 | Spanien | EUR | Bond | - | - | unknown | 0.000922204 |
VONOVIA FINANCE BV 7/30 | DE000A28ZQQ5 | Niederlande | EUR | Bond | - | - | unknown | 0.0009219824 |
LOGICOR FINANCING SARL | XS2027364244 | Luxemburg | EUR | Bond | - | - | unknown | 0.0009210397 |
BANCO SANTANDER SA 10/30 | XS2247936342 | Spanien | EUR | Bond | - | - | unknown | 0.0009199701 |
SKANDINAVISKA ENSKILDA BANKEN | XS2078737215 | Schweden | EUR | Bond | - | - | unknown | 0.0009190084 |
SOCIETE GENERALE SA 9/28 | FR0013536661 | Frankreich | EUR | Bond | - | - | unknown | 0.0009184579 |
ABN AMRO BANK NV | XS2102283061 | Niederlande | EUR | Bond | - | - | unknown | 0.0009179522 |
BANCO BILBAO VIZCAYA ARGENTARI 10/24 | XS2058729653 | Spanien | EUR | Bond | - | - | unknown | 0.0009169882 |
FORD MOTOR CREDIT COMPANY LLC 1.514% 2023-02-17 | XS2013574202 | Vereinigte Staaten von Amerika | EUR | Bond | Ba2 | - | unknown | 0.0009168125 |
TELEFONICA EMISIONES SAU | XS2112289207 | Spanien | EUR | Bond | - | - | unknown | 0.0009162383 |
DEUTSCHE BAHN FINANCE BV 10/29 ZQ1003487 | XS2010039548 | Deutschland | EUR | Bond | - | - | unknown | 0.00091601 |
CREDIT AGRICOLE SA | XS2067135421 | Frankreich | EUR | Bond | - | - | unknown | 0.0009158059 |
AROUNDTOWN SA | XS2023872174 | Deutschland | EUR | Bond | - | - | unknown | 0.0009155131 |
UNICREDIT SPA 04/25 BK5MF4II9 | XS2063547041 | Italien | EUR | Bond | - | - | unknown | 0.0009153976 |
DANSKE BANK A/S | XS2046595836 | Dänemark | EUR | Bond | - | - | unknown | 0.0009153646 |
BOSTON SCIENTIFIC CORP | XS2070192591 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009132935 |
ING GROEPNV | XS2079079799 | Niederlande | EUR | Bond | - | - | unknown | 0.0009122957 |
BBG00ZL4HZ22 CAIXABANK SA SUBORDINATED REGS 06/31 VAR 6/31 | XS2310118976 | Spanien | EUR | Bond | - | - | unknown | 0.0009122867 |
ALLIANZ SE SUBORDINATED REGS 09/49 VAR 9/29 | DE000A2YPFA1 | Deutschland | EUR | Bond | - | - | unknown | 0.0009114764 |
BANQUE FEDERATIVE DU CREDIT MUTUEL | FR0013476553 | Frankreich | EUR | Bond | - | - | unknown | 0.0009114417 |
PHILIP MORRIS INTL INC 03/26 | XS1040105980 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0009108288 |
MUNICH RE 5/41 | XS2221845683 | Deutschland | EUR | Bond | - | - | unknown | 0.0009106453 |
BANCO BILBAO VIZCAYA ARGENTARI | XS2104051433 | Spanien | EUR | Bond | - | - | unknown | 0.0009099842 |
AT+T INC 3/26 | XS2051361264 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009090853 |
BNP PARIBAS SA | FR0013476611 | Frankreich | EUR | Bond | - | - | unknown | 0.0009086482 |
HEIDELBERGCEMENT AG 6/24 | XS1425274484 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0009084806 |
SMURFIT KAPPA ACQUISITIONS UNLIMITED COMPANY 1/26 | XS1849518276 | Irland | EUR | Bond | - | - | unknown | 0.0009084406 |
BBG0113FMRR6 CAIXABANKSA 5/28 | XS2346253730 | Spanien | EUR | Bond | - | - | unknown | 0.000907934 |
ING GROEP NV | XS2049154078 | Niederlande | EUR | Bond | - | - | unknown | 0.0009079319 |
BBG00ZQRLPT4 BANCO SANTANDER SA SR UNSECURED REGS 03/27 VAR 3/27 | XS2324321285 | Spanien | EUR | Bond | - | - | unknown | 0.0009078965 |
BBG00ZYV0CX3 FCA BANK SPA/IRELAND 4/24 | XS2332254015 | Irland | EUR | Bond | - | - | unknown | 0.0009075398 |
BBG00Y709FG7 SOCIETE GENERALE SA 11/30 | FR0014000OZ2 | Frankreich | EUR | Bond | - | - | unknown | 0.0009071181 |
BBG00Z46VX70 IBERDROLA INTERNATIONAL BV | XS2295335413 | Niederlande | EUR | Bond | - | - | unknown | 0.0009069691 |
BBG010ZXXRV7 VOLKSWAGEN LEASING GMBH 7/24 | XS2343821794 | Deutschland | EUR | Bond | - | - | unknown | 0.0009065295 |
SUMITOMO MITSUI FINL GRP 10/29 ACI1G6895 | XS2066392452 | Japan | EUR | Bond | - | - | unknown | 0.000906234 |
BBG00Y4N8FQ0 CAIXABANK SA 11/26 | XS2258971071 | Spanien | EUR | Bond | - | - | unknown | 0.0009053149 |
ASAHI GROUP HOLDINGS LTD 10/28 | XS2242747348 | Japan | EUR | Bond | - | - | unknown | 0.0009050994 |
BNP PARIBAS SA 10/27 | FR00140005J1 | Frankreich | EUR | Bond | - | - | unknown | 0.0009050942 |
SOCIETE GENERALE SA | FR0014002QE8 | Frankreich | EUR | Bond | - | - | unknown | 0.0009049493 |
STANDARD CHARTERED PLC SUBORDINATED REGS 09/30 VAR 9/30 | XS2183818637 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0009040303 |
BANK OF AMERICA CORP | XS2038039074 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009034992 |
BBG00YVDZJ66 UNICREDITSPA 1/26 | XS2289133915 | Italien | EUR | Bond | - | - | unknown | 0.0009029534 |
BBG011BP05L3 VONOVIA SE 6/27 | DE000A3E5MG8 | Deutschland | EUR | Bond | - | - | unknown | 0.0009024647 |
BBG011H7F6V8 BANCO SANTANDER 6/29 | XS2357417257 | Spanien | EUR | Bond | - | - | unknown | 0.0009021366 |
BBG00Z46RMQ8 IBERDROLA INTERNATIONAL BV | XS2295333988 | Niederlande | EUR | Bond | - | - | unknown | 0.0009015185 |
BNP PARIBAS SA 9/28 | FR0013532280 | Frankreich | EUR | Bond | - | - | unknown | 0.0009011154 |
BNP PARIBAS | FR0013444759 | Frankreich | EUR | Bond | - | - | unknown | 0.0009004653 |
BBG00ZXLRMJ1 BNP PARIBAS SA 4/27 | FR0014002X43 | Frankreich | EUR | Bond | - | - | unknown | 0.0008989263 |
BBG011BP0BL0 VONOVIA SE 12/29 | DE000A3E5MH6 | Deutschland | EUR | Bond | - | - | unknown | 0.0008982852 |
BRITISH AMERICAN TOBACCO 10/23 EUR37325 | XS1203854960 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0008975029 |
BBG01015N7C1 CREDIT AGRICOLE SA 4/28 | FR0014003182 | Frankreich | EUR | Bond | - | - | unknown | 0.0008961111 |
VATTENFALL AB 03/27 EUR37395 | XS1205618470 | Schweden | EUR | Bond | Baa2 | - | unknown | 0.0008954569 |
BBG00YT2FM95 BAYER AG 1/29 | XS2281343256 | Deutschland | EUR | Bond | - | - | unknown | 0.0008953837 |
BBG00Z8JY503 SOCIETE GENERALE SA 2/28 | FR00140022B3 | Frankreich | EUR | Bond | - | - | unknown | 0.0008929851 |
BBG00Y47NKZ7 ERSTE GROUP BANK AG SR UNSECURED REGS 11/28 VAR 11/28 | AT0000A2KW37 | Österreich | EUR | Bond | - | - | unknown | 0.0008922248 |
BBG00YRRZB94 SOCIETE GENERALE SA 6/29 | FR0014001GA9 | Frankreich | EUR | Bond | - | - | unknown | 0.0008911871 |
BBG00Z46SLW2 CAIXABANKSA 2/29 | XS2297549391 | Spanien | EUR | Bond | - | - | unknown | 0.000889832 |
BBG00YDCRGX3 CREDIT AGRICOLE SA 0.125 09/12/2027 12/27 | FR0014000Y93 | Frankreich | EUR | Bond | - | - | unknown | 0.0008885363 |
BBG00YTZZQJ0 BANQUE FEDERATIVE DU CREDIT MUTUEL 7/28 | FR0014001I68 | Frankreich | EUR | Bond | - | - | unknown | 0.0008882652 |
CREDIT SUISSE GROUP AG 9/29 | CH0494734418 | Schweiz | EUR | Bond | - | - | unknown | 0.000887994 |
BBG00YVDZJ66 UNICREDIT SPA 1/26 | XS2289133758 | Italien | EUR | Bond | - | - | unknown | 0.0008872976 |
BBG00YGJGSY0 AROUNDTOWN SA 7/26 | XS2273810510 | Luxemburg | EUR | Bond | - | - | unknown | 0.0008854611 |
SWISS LIFE AG VIA DEMETER I 06/25 EUR39229 | XS1245292807 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0008847069 |
BBG00YT2FMG7 BAYER AG 7/31 | XS2281343413 | Deutschland | EUR | Bond | - | - | unknown | 0.0008836704 |
GAZ CAPITAL SA 01/24 AV645432 | XS1911645049 | Russland | EUR | Bond | - | - | unknown | 0.0008825319 |
IBM CORP 05/29 AN630637 | XS1617845679 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0008795756 |
WELLS FARGO & CO 06/25 EUR38884 | XS1240964483 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.000870309 |
PROSUS NV SR UNSECURED REGS 08/28 1.539 8/28 | XS2211183244 | Niederlande | EUR | Bond | - | - | unknown | 0.0008695404 |
SWITZERLAND 4/30 | XS2166619820 | Schweiz | EUR | Bond | - | - | unknown | 0.0008689923 |
ASSICURAZIONI GENERALI SPA 06/28 EUR52374 | XS1428773763 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0008675526 |
BBG010L01C79 AKER BP ASA 5/29 | XS2341269970 | Norwegen | EUR | Bond | - | - | unknown | 0.0008663367 |
CITIGROUP INC 09/26 EUR32704 | XS1107727007 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0008650046 |
INFORMA PLC 25 2.125 10/25 | XS2240507801 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008608638 |
COMMERZBANK AG 9/27 | DE000CZ45V82 | Deutschland | EUR | Bond | - | - | unknown | 0.0008596142 |
CPI PROPERTY GROUP SA 5/26 | XS2171875839 | Luxemburg | EUR | Bond | Baa2 | - | unknown | 0.0008588242 |
BBG00Z8W65Y8 LEASEPLANCORPORATION NV 2/26 | XS2305244241 | Niederlande | EUR | Bond | - | - | unknown | 0.0008541291 |
"ENEL SPA" | XS2000719992 | Italien | EUR | Bond | - | - | unknown | 0.0008538408 |
BBG00Z7002T8 GAZPROM PJSC VIA GAZ FINANCE P 2/27 | XS2301292400 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008536254 |
UNICREDIT SPA | XS2104967695 | Italien | EUR | Bond | - | - | unknown | 0.0008533365 |
BBG00Y709383 HOLCIM FINANCE LUX SA 4/31 | XS2261215011 | Luxemburg | EUR | Bond | - | - | unknown | 0.0008510337 |
ALTRIA GROUP INC | XS1843443190 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0008498204 |
BBG00YZBD6J4 TESCO CORP TREASURY SERV 7/29 | XS2289877941 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008486966 |
EXXON MOBIL CORPORATION 6/28 | XS2196322312 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000848033 |
UNITED KINGDOM 4/28 | XS2135799679 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008474642 |
BBG00Z905015 UBS GROUP AG 2/28 | CH0595205524 | Schweiz | EUR | Bond | - | - | unknown | 0.000847311 |
MEDTRONIC GLOBAL HOLDINGS SCA 1.000% 2031-07-02 | XS2020670852 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008457167 |
BBG00Z962DS8 DNB BANK ASA 2/29 | XS2306517876 | Norwegen | EUR | Bond | - | - | unknown | 0.0008456507 |
AUTOSTRADE SPA 02/25 EUR54744 | XS1558491855 | Italien | EUR | Bond | Ba3 | - | unknown | 0.0008449423 |
BBG00Y3XH484 HSBC HOLDINGS PLC 11/26 | XS2251736646 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008428512 |
FORTUM OYJ 02/26 AX309682 | XS1956037664 | Finnland | EUR | Bond | - | - | unknown | 0.0008396989 |
MIZUHO FINANCIAL GROUP 10/30 | XS2241387096 | Japan | EUR | Bond | - | - | unknown | 0.0008396611 |
BBG00Y3X44J6 HSBC HOLDINGS PLC 11/31 | XS2251736992 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008368588 |
AVIVA PLC 12/25 EUR39027 | XS1242413679 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0008363664 |
GE CAPITAL CORP 02/27 | XS0288429532 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0008355065 |
EASTMAN CHEMICAL CO 05/23 EUR52286 | XS1405783983 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0008336687 |
UBS GROUP FUNDING 09/26 EUR52974 | CH0336602930 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0008283644 |
BBG011C6HKP9 JDE PEET S NV COMPANY GUAR REGS 01/29 0.5 1/29 | XS2354569407 | Niederlande | EUR | Bond | - | - | unknown | 0.0008261322 |
AT&T INC 12/25 | XS0993148856 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0008239402 |
BBG00ZHXZ0H4 BOOKING HOLDING INC 3/28 | XS2308322002 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008233569 |
BBG011MCQ3R1 UNIC 0.8 07-29 7/29 | XS2360310044 | Italien | EUR | Bond | - | - | unknown | 0.0008216672 |
COCA COLA CO/THE | XS1955024986 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008201593 |
TELIASONERA AB 04/23 AM938782 | XS1590787799 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0008191811 |
CREDIT AGRICOLE ASSURANCES 09/28 EUR53173 | FR0013203734 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.000818248 |
TOTAL SA 05/23 EUR53255 | XS1501167164 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0008165139 |
HEIDELBERGCEMENT AG 3/23 | XS1387174375 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0008160764 |
OP CORPORATE BANK PLC 6/30 | XS2185867673 | Finnland | EUR | Bond | - | - | unknown | 0.0008159883 |
BBG011F3Z4Z8 SKANDINAVISKA ENSKILDA 6/28 | XS2356049069 | Schweden | EUR | Bond | - | - | unknown | 0.0008135974 |
BBG010Z1BRT4 AIB GROUPPLC 11/27 | XS2343340852 | Irland | EUR | Bond | - | - | unknown | 0.0008135735 |
BBG0113FXZJ5 AMERICAN TOWER CORP 1/27 | XS2346206902 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008129227 |
BBG00ZDNYWN4 GENERAL MOTORS FINANCIAL CO INC 5/27 | XS2307768734 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008122306 |
BBG00ZXLTN70 MIZUHO FINANCIAL GROUP 4/26 | XS2329143510 | Japan | EUR | Bond | - | - | unknown | 0.0008121934 |
CREDIT MUTUEL ARKEA 03/31 AX498875 | FR0013407418 | Frankreich | EUR | Bond | - | - | unknown | 0.0008116254 |
BBG00ZTG6V28 UBS AG/LONDON 3/31 | XS2326546350 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008098264 |
TELEFONICA EMISONES SAU 10/29 EUR33213 | XS1120892507 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0008095917 |
AUST + NZBANKING GROUP | XS2082818951 | Australien | EUR | Bond | - | - | unknown | 0.0008092173 |
BBG00ZHXYGD4 MONDELEZ INTERNATIONAL INC 3/28 | XS2312722916 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008085395 |
BBG00YG99QN6 SBB TREASURY OYJ COMPANY GUAR REGS 12/28 0.75 12/28 | XS2271332285 | Finnland | EUR | Bond | - | - | unknown | 0.0008069888 |
MORGAN STANLEY DEAN WITTER 10/25 AP638234 | XS1706111793 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008037585 |
BBG011PR9NX3 PROSUS NV SR UNSECURED REGS 07/29 1.288 7/29 | XS2360853332 | Niederlande | EUR | Bond | - | - | unknown | 0.000802589 |
FCA BANK SPA/IRELAND 9/23 | XS2231792586 | Irland | EUR | Bond | - | - | unknown | 0.0008013184 |
HEATHROW FUNDING LTD 02/30 EUR36572 | XS1186176571 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0008009225 |
MIZUHO FINANCIAL GROUP | XS2098350965 | Japan | EUR | Bond | - | - | unknown | 0.0008006939 |
DOW CHEMICAL CO/THE 3/27 | XS2122485845 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007968301 |
NETHERLANDS 4/28 | XS2152796269 | Niederlande | EUR | Bond | - | - | unknown | 0.000796823 |
SPAIN 4/30 | XS2156583259 | Spanien | EUR | Bond | - | - | unknown | 0.0007963702 |
UNICREDITSPA | XS2104968404 | Italien | EUR | Bond | - | - | unknown | 0.0007959448 |
PRICELINE GROUP INC/THE 09/24 EUR32889 | XS1112850125 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007958551 |
ENI SPA | XS2107315470 | Italien | EUR | Bond | - | - | unknown | 0.0007954641 |
BBG01173G6X5 HAMMERSON IRELAND COMPANY GUAR REGS 06/27 1.75 6/27 | XS2344772426 | Irland | EUR | Bond | - | - | unknown | 0.0007917078 |
SVENSKA HANDELSBANKEN AB 2/30 | XS2121207828 | Schweden | EUR | Bond | - | - | unknown | 0.0007916568 |
J.P. MORGAN & CO INC 05/28 | XS0935427970 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007916158 |
RUSSIAN FEDERATION 4/25 | XS2157526315 | Russland | EUR | Bond | - | - | unknown | 0.0007912933 |
0.875% CEZ AS 12/26 | XS2084418339 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0007902974 |
ABERTIS INFRAESTRUCTURAS SA 03/31 AX729355 | XS1967636199 | Spanien | EUR | Bond | - | - | unknown | 0.000789977 |
ESB FINANCE LTD 06/31 EUR52370 | XS1428782160 | Irland | EUR | Bond | Baa1 | - | unknown | 0.0007858021 |
HSBC HOLDING PLC 06/28 EUR52371 | XS1428953407 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0007832546 |
NYKREDIT REALKREDIT AS | DK0009526998 | Dänemark | EUR | Bond | - | - | unknown | 0.0007831609 |
BBG00YRS5N35 DLR 0.625 07/15/31 7/31 | XS2280835260 | Niederlande | EUR | Bond | - | - | unknown | 0.0007825889 |
GENERAL MOTORS FINANCIAL CO IN 2/26 | XS2125145867 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007817379 |
FRESENIUS SE & CO KGAA | XS2101357072 | Deutschland | EUR | Bond | - | - | unknown | 0.0007817069 |
CESKE ENERGETICKE ZAVODY AS 06/28 | XS0940293763 | Tschechische Republik | EUR | Bond | Baa1 | - | unknown | 0.0007815513 |
STANDARD CHARTERED PLC | XS2102360315 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007807755 |
AT&T INC 12/29 EUR33870 | XS1144088165 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007804987 |
MYLAN NV 11/28 EUR53675 | XS1492458044 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0007797147 |
WELLS FARGO AND COMPANY 3/30 | XS2056400299 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007796885 |
VOLKSWAGEN AG 08/25 AT968429 | XS1865186677 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0007795547 |
RYANAIR DAC 9/25 | XS2228260043 | Irland | EUR | Bond | - | - | unknown | 0.0007794991 |
FRANCE 4/30 | FR0013506821 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0007792875 |
WELLS FARGO & COMPANY 8/30 | XS2118204200 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007792164 |
DANAHER CORP SR UNSECURED 03/30 2.5 3/30 | XS2147995372 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007771568 |
OMV AG 12/25 EUR44888 | XS1294343337 | Österreich | EUR | Bond | Baa3 | - | unknown | 0.0007762257 |
SAMHALLSBYGGNADSBOLAGET SR UNSECURED REGS 08/27 1 8/27 | XS2114871945 | Schweden | EUR | Bond | - | - | unknown | 0.0007758238 |
BBG010RS8QV7 ENI SPA | XS2334857138 | Italien | EUR | Bond | - | - | unknown | 0.000775134 |
BNP PARIBAS 05/28 AQ076810 | XS1722801708 | Frankreich | EUR | Bond | - | - | unknown | 0.0007745847 |
GOLDMAN SACHS GROUP INC | XS2043678841 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007738904 |
5.875% ATLANTIA S.P.A. 06/24 | XS0193945655 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0007732707 |
BBG01135CMR0 BANK OF AMERICA CORP 8/28 | XS2345799089 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007724416 |
HEINEKEN NV SR UNSECURED REGS 03/30 2.25 3/30 | XS2147977636 | Niederlande | EUR | Bond | - | - | unknown | 0.0007719215 |
ZURICH INSURANCE CO 10/26 EUR52248 | XS1418788755 | Schweiz | EUR | Bond | A2 | - | unknown | 0.0007694038 |
NN GROUP NV 07/26 EUR29441 | XS1028950290 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0007681024 |
AUCHAN HOLDING SA 7/27 | FR0013524865 | Frankreich | EUR | Bond | - | - | unknown | 0.0007676666 |
ALLIANZ FINANCE BV 07/27 EUR54570 | DE000A2DAHN6 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0007669439 |
BBG00ZNH5T28 STANDARD CHARTERED PLC SUBORDINATED REGS 09/31 VAR 9/31 | XS2319954710 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007669296 |
TOTAL SE | XS2224632971 | Frankreich | EUR | Bond | - | - | unknown | 0.0007668939 |
CREDIT AGRICOLE ASSURANCES 10/25 EUR33214 | FR0012222297 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0007652339 |
BBG00ZDZRP05 NATWEST GROUP PLC 2/30 | XS2307853098 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007648152 |
BG ENERGY CAPITAL PLC 11/29 EUR33698 | XS1140054526 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0007621685 |
VEOLIA ENVIRONNEMENT 01/30 AV923572 | FR0013385473 | Frankreich | EUR | Bond | - | - | unknown | 0.0007602467 |
WHIRLPOOL FINANCE LUXEMBOUR 11/26 EUR53585 | XS1514149159 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007599126 |
AUSTRIA 4/28 | XS2151059206 | Österreich | EUR | Bond | - | - | unknown | 0.0007598607 |
JAB HOLDINGS BV 06/29 AT119705 | DE000A1919H2 | Österreich | EUR | Bond | - | - | unknown | 0.0007583894 |
IMPERIAL TOBACCO FIN PLC 02/26 | XS1040508241 | Großbritannien (UK) | EUR | Bond | Baa3 | - | unknown | 0.0007580021 |
SOGECAP SA 02/26 EUR34446 | FR0012383982 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0007578357 |
JCDECAUX SA 4/28 | FR0013509643 | Frankreich | EUR | Bond | - | - | unknown | 0.0007563669 |
BBG00YC46H45 COCA COLAEUROPEAN PARTN 12/28 | XS2264977146 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.00075631 |
2.375% WPP FINANCE SA 5/27 | XS2176562812 | Frankreich | EUR | Bond | - | - | unknown | 0.00075629 |
BBG00ZHXZXV6 ENEL SPA | XS2312746345 | Italien | EUR | Bond | - | - | unknown | 0.0007542801 |
BNP PARIBAS 10/26 EUR51629 | XS1378880253 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0007541684 |
BRITISH TELECOMMUNICATIONS PLC 9/25 | XS2051494222 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007519016 |
AMERICA MOVIL SA DE CV 09/23 | XS0969341147 | Mexiko | EUR | Bond | Baa2 | - | unknown | 0.0007513176 |
KLEPIERRE SA 5/29 | FR0013512233 | Frankreich | EUR | Bond | - | - | unknown | 0.0007502879 |
BANQUE FED CRED MUTUEL 05/28 AS686164 | XS1824240136 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0007499604 |
LIBERTY MUTUAL GROUP 05/26 EUR52086 | XS1403499848 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0007495712 |
INTL FLAVORS & FRAGRANCE 09/26 AU590897 | XS1843459782 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007494062 |
STRYKER CORP 11/27 AV512864 | XS1914502304 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007485583 |
SCOR 06/26 EUR45017 | FR0013067196 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0007480911 |
BANQUE FED CRED MUTUEL 09/25 EUR41396 | XS1288858548 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0007477836 |
FAIRFAX FINANCIAL HOLDINGS LTD 2.750% 2028-03-29 | XS1794675931 | Kanada | EUR | Bond | - | - | unknown | 0.0007472808 |
PARKER HANNIFIN CORP 03/25 AP971340 | XS1719267855 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007468094 |
FIDELITY NATIONAL INFORMATION SERVICES INC 2.000% 2030-05-21 | XS1843435923 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007462872 |
SIGNIFY NV 05/27 2.375 5/27 | XS2128499105 | Niederlande | EUR | Bond | - | - | unknown | 0.0007460415 |
TELEFONICA EMISONES SAU 03/29 AX520478 | XS1961772560 | Spanien | EUR | Bond | - | - | unknown | 0.0007456363 |
LA BANQUE POSTALE 07/28 AT456704 | FR0013349099 | Frankreich | EUR | Bond | - | - | unknown | 0.0007452241 |
ENTE NAZIONALE PER L'ENERGI 11/26 AS640440 | XS1713463559 | Italien | EUR | Bond | - | - | unknown | 0.0007446119 |
SWISS RE FINANCE LUX 04/30 AX683405 | XS1963116964 | Schweiz | EUR | Bond | - | - | unknown | 0.0007441279 |
ABERTIS INFRAESTRUCTURAS SA 3/29 | XS2195092601 | Spanien | EUR | Bond | - | - | unknown | 0.0007437658 |
CK HUTCHISON FINANCE 16 LTD 04/28 EUR51861 | XS1391086987 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0007427978 |
DEUTSCHE BANK AG | DE000DL19US6 | Deutschland | EUR | Bond | - | - | unknown | 0.0007399026 |
GB 06/24 | XS1076781589 | Niederlande | EUR | Bond | Ba1 | - | unknown | 0.0007394761 |
MMS USA FINANCING INC 1.750% 2031-06-13 | FR0013425154 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007388537 |
INTESA SANPAOLO VITA SPA 12/24 EUR34483 | XS1156024116 | Italien | EUR | Bond | Ba1 | - | unknown | 0.0007382293 |
AXA SA 07/23 | XS0878743623 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0007362065 |
BANQUE FED CRED MUTUEL 03/29 AX543891 | FR0013408960 | Frankreich | EUR | Bond | - | - | unknown | 0.000735616 |
1.5% BERTELSMANN SE CO KGAA 5/30 | XS2176558620 | Deutschland | EUR | Bond | - | - | unknown | 0.0007354502 |
HOLCIM LTD 08/29 AO852710 | XS1672151492 | Schweiz | EUR | Bond | - | - | unknown | 0.0007352273 |
SCENTRE MANAGEMENT LTD 1.750% 2028-04-11 | XS1806368897 | Australien | EUR | Bond | A2 | - | unknown | 0.0007342151 |
BERTELSMANN AG 04/27 EUR38310 | XS1222594472 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0007337494 |
AEGON NV 04/24 | XS1061711575 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.000733652 |
JAB HOLDINGS BV 05/28 AM837930 | DE000A19HCX8 | Österreich | EUR | Bond | Baa1 | - | unknown | 0.0007332699 |
WALGREENS BOOTS ALLIANCE IN 11/26 EUR33675 | XS1138360166 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0007326194 |
BP CAPITAL MARKETS PLC 06/29 AO066184 | XS1637863546 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0007321437 |
HEIDELBERGCEMENT FINANCE LUXEMBOURG SA 1.750% 2028-04-24 | XS1810653540 | Deutschland | EUR | Bond | - | - | unknown | 0.0007316011 |
INFINEON TECHNOLOGIES AG 6/29 | XS2194283839 | Deutschland | EUR | Bond | - | - | unknown | 0.0007305096 |
WPC EUROBOND BV 04/26 AU759595 | XS1843459600 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007302573 |
IBERDROLA INTL BV | XS1890845875 | Spanien | EUR | Bond | - | - | unknown | 0.0007302224 |
VOLKSWAGEN BANK AG 12/25 AQ326339 | XS1734548644 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0007297448 |
CHUBB INA HOLDINGS INC 1.550% 2028-03-15 | XS1785795763 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007283844 |
AMERICAN INTL GROUP 06/27 AN667328 | XS1627602201 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007281057 |
TALANX AG 12/27 AQ204270 | XS1729882024 | Deutschland | EUR | Bond | - | - | unknown | 0.0007279392 |
CNP ASSURANCES 6/51 | FR0013521630 | Frankreich | EUR | Bond | - | - | unknown | 0.0007278228 |
CZECH GAS NETWORKS INV SR UNSECURED REGS 07/27 1 7/27 | XS2193733503 | Luxemburg | EUR | Bond | - | - | unknown | 0.0007277057 |
KKR GROUP FINANCE CO V LLC 1.625% 2029-05-22 | XS1998904921 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007269061 |
BBG00N9JTTQ5 BANKIA SA 2/24 | XS1951220596 | Spanien | EUR | Bond | - | - | unknown | 0.0007267482 |
INMOBILIARIA COLONIAL SOCIMI SA 2.000% 2026-04-17 | XS1808395930 | Spanien | EUR | Bond | - | - | unknown | 0.0007265293 |
BLACKSTONE HOLDINGS FINANCE CO LLC 1.500% 2029-04-10 | XS1979490239 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007259776 |
VALEO SA 01/24 | FR0011689033 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0007256689 |
EDENRED 6/29 | FR0013518537 | Frankreich | EUR | Bond | - | - | unknown | 0.0007252883 |
ACEA SPA 07/24 EUR29437 | XS1087831688 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0007249056 |
DP WORLD LTD 09/26 AU573730 | XS1883878966 | Vereinigte Arabische Emirate | EUR | Bond | - | - | unknown | 0.0007244202 |
ACHMEA BV 5/27 | XS2175967343 | Niederlande | EUR | Bond | - | - | unknown | 0.0007243179 |
SYDNEY AIRPORT FINANCE 04/24 | XS1057783174 | Australien | EUR | Bond | Baa2 | - | unknown | 0.0007243171 |
2I RETE GAS SPA 10/27 AP708173 | XS1709374497 | Italien | EUR | Bond | - | - | unknown | 0.0007236595 |
MERLIN PROPERTIES SOCIMI SA 11/26 EUR53553 | XS1512827095 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0007226686 |
CARLSBERG BREWERIES A S 05/24 | XS1071713470 | Dänemark | EUR | Bond | Baa2 | - | unknown | 0.0007221577 |
AUCHAN HOLDING SA 2.375% 2025-04-25 | FR0013416146 | Frankreich | EUR | Bond | - | - | unknown | 0.0007217952 |
ACEA SPA 06/27 AQ927999 | XS1767087866 | Italien | EUR | Bond | - | - | unknown | 0.0007216708 |
CARMILA SAS 09/24 EUR51765 | FR0013142536 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0007215573 |
COMPAGNIEFIN ET INDUS 5/31 | FR0013512621 | Frankreich | EUR | Bond | - | - | unknown | 0.0007209009 |
MERCK KGAA 12/24 EUR34393 | XS1152343668 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.000720643 |
IMPERIAL BRANDS FIN PLC | XS1951313763 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007204903 |
JAB HOLDINGS BV 06/26 AT002920 | DE000A1919G4 | Österreich | EUR | Bond | - | - | unknown | 0.0007203975 |
INFRA FOCH SAS 04/25 EUR33266 | FR0012236669 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0007203842 |
TELEPERFORMANCE 07/25 AT156584 | FR0013346822 | Frankreich | EUR | Bond | - | - | unknown | 0.0007201398 |
AMADEUS ITGROUP SA 5/24 | XS2177552390 | Spanien | EUR | Bond | - | - | unknown | 0.0007194184 |
CREDIT MUTUEL ARKEA SA 1.625% 2026-04-15 | FR0013414091 | Frankreich | EUR | Bond | - | - | unknown | 0.0007183373 |
VOLKSWAGEN 28 3.375 4/28 | XS2152061904 | Deutschland | EUR | Bond | - | - | unknown | 0.0007178645 |
BBG012248XD8 BECTON DICKINSON EURO 8/28 | XS2375844144 | Luxemburg | EUR | Bond | - | - | unknown | 0.0007177749 |
PEUGEOT SA 3/25 | FR0013323326 | Niederlande | EUR | Bond | - | - | unknown | 0.0007175286 |
CNH INDUSTRIAL FINANCE EUROPE SA 9/25 | XS1678966935 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007174701 |
CAPGEMINI SE 6/30 | FR0013519071 | Frankreich | EUR | Bond | - | - | unknown | 0.0007168645 |
LA BANQUE POSTALE 1.375% 2029-04-24 4/29 | FR0013415692 | Frankreich | EUR | Bond | - | - | unknown | 0.0007165383 |
ACS SERVICIOS COMUNICACIONES Y ENERGIA SL 1.875% 2026-04-20 | XS1799545329 | Spanien | EUR | Bond | - | - | unknown | 0.0007160184 |
GENERAL MOTORS FIN 04/24 AW770726 | XS1939356645 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007147914 |
ANGLO AMERICAN CAPITAL PLC 09/25 AP137335 | XS1686846061 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000714354 |
DXC TECHNOLOGY CO 01/26 23355LAH | XS1883245331 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007142484 |
TRANSURBAN FINANCE CMPNY 09/24 EUR32782 | XS1109744778 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0007142428 |
"AKELIUS RESIDENTIAL PROPERTY AB" 2/25 | XS1622421722 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0007136076 |
ING BANK 02/24 AM441490 | XS1564394796 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.0007133611 |
INFRA PARK SAS 1.625% 2028-04-19 | FR0013330099 | Frankreich | EUR | Bond | - | - | unknown | 0.0007130516 |
DH EUROPE FINANCE SA 07/25 EUR39685 | XS1255436187 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0007127723 |
VIVENDI SA 1.125% 2028-12-11 | FR0013424876 | Frankreich | EUR | Bond | - | - | unknown | 0.0007127139 |
IBERDROLA INTERNATIONAL BV FRN + 2.625% 2023-12-27 | XS1797138960 | Spanien | EUR | Bond | - | - | unknown | 0.0007125189 |
OMV AG 06/24 AR776117 | XS1713462403 | Österreich | EUR | Bond | - | - | unknown | 0.0007121222 |
WESTLAKE CHEMICAL CORP 07/29 ACI1D6YC2 | XS2028104037 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007120336 |
AUTOSTRADE PER L'ITALIA SPA 09/29 AP097253 | XS1688199949 | Italien | EUR | Bond | - | - | unknown | 0.0007112225 |
BANCO BILBAO VIZCAYA ARG | XS1954087695 | Spanien | EUR | Bond | - | - | unknown | 0.0007111447 |
ALTRIA GROUP INC | XS1843443513 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007106845 |
ING GROEP NV FRN + 2.000% 2030-03-22 | XS1796079488 | Niederlande | EUR | Bond | - | - | unknown | 0.0007105652 |
RCI BANQUE SA 07/24 AW471983 | FR0013393774 | Frankreich | EUR | Bond | - | - | unknown | 0.0007104956 |
COMMONWEALTH BANK OF AUST 10/24 AP286447 | XS1692332684 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0007104135 |
SUEZ ENVIRONNEMENT SA 04/24 AN206662 | FR0013252061 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.000710327 |
GOLDMAN SACHS GROUP INC 06/26 | XS1074144871 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007103037 |
ROYAL MAIL PLC | XS2063268754 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007098496 |
BANQUE FEDERATIVE DU CREDIT MU 6/30 | FR0013515749 | Frankreich | EUR | Bond | - | - | unknown | 0.0007097589 |
SOCIETE GENERALE 01/28 AP934455 | XS1718316281 | Frankreich | EUR | Bond | - | - | unknown | 0.0007096497 |
ATOS SE 05/25 AV231751 | FR0013378452 | Frankreich | EUR | Bond | - | - | unknown | 0.0007095969 |
GRAND CITY PROPERTIES SA 08/26 AO478673 | XS1654229373 | Deutschland | EUR | Bond | - | - | unknown | 0.0007095883 |
NISSAN MOTOR CO LTD 9/28 | XS2228683350 | Japan | EUR | Bond | - | - | unknown | 0.0007093392 |
EP INFRASTRUCTURE AS | XS2034622048 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0007091947 |
CNP ASSURANCES | FR0013463775 | Frankreich | EUR | Bond | - | - | unknown | 0.0007090342 |
ABERTIS INFRAESTRUCTURAS SA 05/26 EUR52194 | ES0211845302 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.000708805 |
PARTNERRE IRELAND FINANCE D 09/26 EUR53090 | XS1489391109 | Irland | EUR | Bond | A3 | - | unknown | 0.0007080637 |
LIBERTY MUTUAL FINANCE EURO 03/24 AM771110 | XS1586337872 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0007077722 |
BECTON DICKINSON EURO FINANCE SARL 1.208% 2026-06-04 | XS2002532724 | Luxemburg | EUR | Bond | - | - | unknown | 0.0007076796 |
HANNOVER RE SUBORDINATED REGS 10/40 VAR 10/30 | XS2198574209 | Deutschland | EUR | Bond | - | - | unknown | 0.0007076548 |
EUREKO BV 04/23 | XS0911388675 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0007073049 |
EUTELSAT SA 10/25 AU654267 | FR0013369493 | Frankreich | EUR | Bond | - | - | unknown | 0.000706546 |
CAIXABANK SA 2.750% 2028-07-14 | XS1645495349 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0007064356 |
GAZPROM OAO VIA GAZ CAPITAL SA 11/24 | XS1721463500 | Russland | EUR | Bond | - | - | unknown | 0.0007063896 |
ZF EUROPE FINANCE BV COMPANY GUAR REGS 10/29 3 | XS2010039894 | Niederlande | EUR | Bond | - | - | unknown | 0.0007061969 |
ICADE SANTE SAS 9/30 | FR0013535150 | Frankreich | EUR | Bond | - | - | unknown | 0.0007046609 |
SVENSKA HANDELSBANKEN 03/24 AU271246 | XS1875333178 | Schweden | EUR | Bond | - | - | unknown | 0.0007043887 |
WINTERSHALL DEA FINANCE COMPANY GUAR REGS 09/28 1.332 9/28 | XS2054210252 | Deutschland | EUR | Bond | - | - | unknown | 0.0007042254 |
BBG011K28M48 YORKSHIREBUILDI 7/28 | XS2358471246 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000703428 |
BANCO SANTANDER SA 6/27 | XS2194370727 | Spanien | EUR | Bond | - | - | unknown | 0.0007030098 |
DEUTSCHE BANK AG 9/26 | DE000DL19VP0 | Deutschland | EUR | Bond | - | - | unknown | 0.0007026457 |
BBG00YCWTFN1 SNAM SPAEO-MED.-T. NTS 2020 (28/28) 12/28 | XS2268340010 | Italien | EUR | Bond | - | - | unknown | 0.0007024236 |
DS SMITH PLC 07/24 AO366700 | XS1652512457 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007022929 |
CREDIT AGRICOLE SA 25 1.625 6/25 | FR0013516184 | Frankreich | EUR | Bond | - | - | unknown | 0.000702118 |
BBG00XY94TL9 ABBVIE INC SR UNSECURED 06/24 1.25 6/24 | XS2125914593 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007016464 |
UNICREDIT SPA 1.625% 2025-07-03 | XS2021993212 | Italien | EUR | Bond | - | - | unknown | 0.0007012567 |
CPI PROPERTY GROUP SA 04/27 ACI1G7W13 | XS2069407786 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0007012169 |
ELIA TRANSMISSION BE SR UNSECURED REGS 04/30 0.875 4/30 | BE6321529396 | Belgien | EUR | Bond | - | - | unknown | 0.0007009439 |
TAKEDA PHARMACEUTICAL SR UNSECURED 07/29 1 7/29 | XS2197348597 | Japan | EUR | Bond | - | - | unknown | 0.000700884 |
LLOYDS BANKING GROUP PLC FRN + 1.750% 2028-09-07 | XS1788982996 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007004167 |
BANCO DE SABADELL SA 1.750% 2024-05-10 | XS1991397545 | Spanien | EUR | Bond | - | - | unknown | 0.0007003371 |
MOLSON COORS BREWING CO 07/24 EUR52556 | XS1440976535 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0007001296 |
SOCIETE GENERALE SA 4/26 | FR0013509098 | Frankreich | EUR | Bond | - | - | unknown | 0.0006996589 |
HEINZ CO 06/23 EUR39507 | XS1253558388 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0006995687 |
FIDELITY NATIONAL INFORM 07/24 AO113946 | XS1640492994 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0006992348 |
RCI BANQUE SA 03/24 AM692785 | FR0013241361 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.000698835 |
MERLIN PROPERTIES SOCIMI SA 04/23 EUR51987 | XS1398336351 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0006986978 |
MERCK KGAA | XS2218405772 | Deutschland | EUR | Bond | - | - | unknown | 0.000698191 |
VERIZON COMMUNICATIONS INC 10/29 92343VED | XS1708167652 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0006979432 |
GALP GAS NATURAL DISTRIBUIC 09/23 EUR53112 | PTGGDAOE0001 | Portugal | EUR | Bond | Baa3 | - | unknown | 0.0006977868 |
NATURGY FINANCE BV | XS2083976139 | Spanien | EUR | Bond | - | - | unknown | 0.0006977467 |
SCHAEFFLER AG 03/24 AX751866 | DE000A2YB7A7 | Deutschland | EUR | Bond | - | - | unknown | 0.0006973365 |
SKANDINAVISKA ENSKILDA BANK 10/23 EUR53531 | XS1511589605 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0006972984 |
LEG IMMOBILIEN AG | DE000A254P51 | Deutschland | EUR | Bond | - | - | unknown | 0.0006969171 |
BAYER AG | XS2077670342 | Deutschland | EUR | Bond | - | - | unknown | 0.0006964395 |
BANCO DE SABADELL SA 3/27 | XS2228245838 | Spanien | EUR | Bond | - | - | unknown | 0.0006963544 |
0.875% TESCO 05/26 | XS2086868010 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006961628 |
BBG0105TCFT1 FEDEX CORP 5/29 | XS2337252931 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006957745 |
ABBVIE INC 11/27 0.750000 11/27 | XS2055646918 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006952283 |
"EURONET WORLDWIDE INC" 5/26 | XS2001315766 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006950156 |
BANKIA SA | ES0213307053 | Spanien | EUR | Bond | - | - | unknown | 0.0006948187 |
SOCIETE GENERALE SA 0.875% 2026-07-01 | FR0013430733 | Frankreich | EUR | Bond | - | - | unknown | 0.0006943175 |
BBG00ZL4NYW5 APT PIPELINES LTD 3/29 | XS2315784715 | Australien | EUR | Bond | - | - | unknown | 0.0006943073 |
HARLEY-DAVIDSON FINANCIAL SERV | XS2075185228 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006942973 |
CAPITAL ONE FINANCIAL CORP 0.800% 2024-06-12 | XS2009011771 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000694279 |
ROYAL KPN NV 04/25 EUR52989 | XS1485532896 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0006935921 |
DS SMITH PLC 9/26 | XS2051777873 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006934312 |
EXOR SPA 12/22 EUR44883 | XS1329671132 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0006934159 |
FORD MOTOR CREDIT COMPANY LLC 7/24 | XS2116728895 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006921757 |
BANKINTER SA 0.875% 2026-07-08 | ES0213679HN2 | Spanien | EUR | Bond | - | - | unknown | 0.0006919862 |
GLENCORE CAP FIN DAC 3/28 | XS2228892860 | Irland | EUR | Bond | - | - | unknown | 0.0006915571 |
ISS GLOBAL A/S 0.875% 2026-06-18 | XS2013618421 | Dänemark | EUR | Bond | - | - | unknown | 0.0006907035 |
BBG00ZDZTDL7 GLENCORE CAPITAL FINANCE DAC 3/29 | XS2307764238 | Irland | EUR | Bond | - | - | unknown | 0.0006906265 |
BRITISH TELECOMMUNICATIONS PLC 9/29 | XS2051494495 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006904001 |
SOCIETE GENERALE 02/23 AR386656 | FR0013320033 | Frankreich | EUR | Bond | - | - | unknown | 0.0006902878 |
ARCELORMITTAL | XS2082323630 | Luxemburg | EUR | Bond | Baa3 | - | unknown | 0.0006893113 |
GOLDMAN SACHS GROUP INC 2.000% 2028-03-22 | XS1796209010 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006878875 |
ACS ACTIVIDADES CONS 6/25 | XS2189592616 | Spanien | EUR | Bond | - | - | unknown | 0.0006878374 |
RCI BANQUE SA 04/25 AN103462 | FR0013250693 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0006877466 |
NGG FINANCE PLC | XS2010045511 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006877465 |
0,875% COMMERZBANK 012027 | DE000CZ45VM4 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.000687583 |
VOLKSWAGEN 10/26 AU904532 | XS1893631769 | Deutschland | EUR | Bond | - | - | unknown | 0.0006874575 |
BPCE SA | FR0013476207 | Frankreich | EUR | Bond | - | - | unknown | 0.0006872342 |
BBG00YC45YS3 UNIBAIL RODAMCO WESTFLD 5/27 | FR0014000UC8 | Frankreich | EUR | Bond | - | - | unknown | 0.0006867439 |
LA BANQUE POSTALE | FR0013518024 | Frankreich | EUR | Bond | - | - | unknown | 0.0006862135 |
RENAULT 03/23 AM661242 | FR0013240835 | Frankreich | EUR | Bond | Ba2 | - | unknown | 0.0006857434 |
BLACKSTONEPP EUR HOLD 9/23 | XS2051670136 | Luxemburg | EUR | Bond | - | - | unknown | 0.0006855006 |
KERRY GROUP FINANCIAL SERVICES 9/29 | XS2042667944 | Irland | EUR | Bond | - | - | unknown | 0.0006850377 |
BBG01135DLX4 UNIBAIL-RODAMCO-WESTFIELD SE 10/28 | FR0014003MJ4 | Frankreich | EUR | Bond | - | - | unknown | 0.0006845813 |
ZF EUROPE FINANCE BV | XS2010039381 | Niederlande | EUR | Bond | - | - | unknown | 0.0006837853 |
BBG00Y47TS20 FCA BANK SPA IRELAND 11/23 | XS2258558464 | Irland | EUR | Bond | - | - | unknown | 0.0006828743 |
NISSAN MOTOR CO 3/26 | XS2228683277 | Japan | EUR | Bond | - | - | unknown | 0.0006825317 |
BPCE SA SR UNSECURED 02/27 0.5 | FR0013455540 | Frankreich | EUR | Bond | - | - | unknown | 0.0006819815 |
BBG00ZS96S86 ARVAL SERVICE LEASE 9/24 | FR0014002NR7 | Frankreich | EUR | Bond | - | - | unknown | 0.000681923 |
BAYER AG | XS2077670003 | Deutschland | EUR | Bond | - | - | unknown | 0.0006817791 |
BANKINTER SA 27 0.625 10/27 | ES0213679JR9 | Spanien | EUR | Bond | - | - | unknown | 0.000681694 |
RELX PLC, 0.5% 10MAR2028 3/28 | XS2126161764 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006805246 |
BAXTER INTERNATIONAL INC 1.300% 2029-05-15 | XS1998215559 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0006805034 |
BBG010ZXXRW6 VOLKSWAGEN LEASING GMBH 7/26 | XS2343822842 | Deutschland | EUR | Bond | - | - | unknown | 0.0006802447 |
DEUTSCHE BAHN FIN GMBH COMPANY GUAR REGS 12/99 VAR 04/25 ZQ0992706 | XS2010039035 | Deutschland | EUR | Bond | - | - | unknown | 0.0006800898 |
KBC GROUP NV | BE0002664457 | Belgien | EUR | Bond | - | - | unknown | 0.0006790507 |
BBG00YRRZWL4 VOLKSWAGEN LEASING GMBH 1/26 | XS2282094494 | Deutschland | EUR | Bond | - | - | unknown | 0.000678991 |
BBG00ZS00VB0 VANTAGE TOWERS AG SR UNSECURED REGS 03/30 0.75 3/30 | DE000A3H3J30 | Deutschland | EUR | Bond | - | - | unknown | 0.0006787531 |
THALES SA | FR0013479748 | Frankreich | EUR | Bond | - | - | unknown | 0.0006787507 |
RENAULT 09/26 AU612641 | FR0013368206 | Frankreich | EUR | Bond | - | - | unknown | 0.0006786423 |
RENAULT 11/25 AQ125570 | FR0013299435 | Frankreich | EUR | Bond | - | - | unknown | 0.0006784643 |
CITIGROUP INC 1.625% 2028-03-21 | XS1795252672 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006783736 |
DAIMLER AG | DE000A2YNZX6 | Deutschland | EUR | Bond | - | - | unknown | 0.0006782095 |
BBG00Z6B4H36 DANSKE BANK A/S 5/31 | XS2299135819 | Dänemark | EUR | Bond | - | - | unknown | 0.0006781275 |
BBG00Y8W14J6 ENGIE SA 12/99 1 | FR0014000RR2 | Frankreich | EUR | Bond | - | - | unknown | 0.0006779014 |
FISERV INC 1.625% 2030-07-01 | XS1843434108 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006778892 |
BBG00ZDP3WS8 BPCE SA 3/31 | FR00140027U2 | Frankreich | EUR | Bond | - | - | unknown | 0.0006777563 |
BBG011KLCMR6 ENGIE SA | FR00140046Y4 | Frankreich | EUR | Bond | - | - | unknown | 0.0006777373 |
KBC GROUP NV 9/26 | BE0002728096 | Belgien | EUR | Bond | - | - | unknown | 0.0006772214 |
BBG00ZS00NM6 VINTAGE TOWERS AG 3/27 | DE000A3H3J22 | Deutschland | EUR | Bond | - | - | unknown | 0.000676932 |
BBG011FCNJX0 BANKINTERSA 12/32 | ES0213679OF4 | Spanien | EUR | Bond | - | - | unknown | 0.0006767773 |
EURONEXT NV 1.125% 2029-06-12 | XS2009943379 | Niederlande | EUR | Bond | - | - | unknown | 0.0006763114 |
BBG011F4BTZ7 DEVOBA 0.25 06/22/26 EMTN 6/26 | XS2356091269 | Niederlande | EUR | Bond | - | - | unknown | 0.0006761242 |
IREN SPA 09/25 AU498756 | XS1881533563 | Italien | EUR | Bond | - | - | unknown | 0.0006752016 |
BBG010SLZ5N6 HOLDING D INFRASTRUCTURE SR UNSECURED REGS 09/28 0.625 9/28 | XS2342058117 | Frankreich | EUR | Bond | - | - | unknown | 0.0006742178 |
BBG011WQ4PC0 ALSTOM SA 7/30 | FR0014004R72 | Frankreich | EUR | Bond | - | - | unknown | 0.0006740344 |
BBG00Y99V895 TELEPERFORMANCE 11/27 | FR0014000S75 | Frankreich | EUR | Bond | - | - | unknown | 0.0006723849 |
BBG00Z9060R6 SANTAN CONSUMER FINANCE 2/26 | XS2305600723 | Spanien | EUR | Bond | - | - | unknown | 0.0006723431 |
BBG011F3W3Q3 MUTUELLE ASSURANCE 6/27 | FR0014003Y09 | Frankreich | EUR | Bond | - | - | unknown | 0.000672315 |
BBG00YRSJBL6 BPCEGP 0.01 01/14/27 1/27 | FR0014001G29 | Frankreich | EUR | Bond | - | - | unknown | 0.0006720579 |
RENAULT SA 1.250% 2025-06-24 | FR0013428414 | Frankreich | EUR | Bond | - | - | unknown | 0.0006720381 |
BBG00YX2J9J4 NORTEGAS ENERGIA DISTRIBUCION 1/31 | XS2289797248 | Spanien | EUR | Bond | - | - | unknown | 0.0006717097 |
BBG00ZTY7909 VGP NV SR UNSECURED REGS 04/29 1.5 4/29 | BE6327721237 | Belgien | EUR | Bond | - | - | unknown | 0.0006707559 |
BBG00Z3T3Z68 BELFIUS BANK SA/NV 2/28 | BE6326784566 | Belgien | EUR | Bond | - | - | unknown | 0.0006702709 |
BBG00Z700PK6 ORSTED A/S SUBORDINATED REGS 02/21 VAR 2/21 | XS2293075680 | Dänemark | EUR | Bond | - | - | unknown | 0.0006694435 |
BBG011F47CV3 LA BANQUEPOSTALE 6/31 | FR00140044X1 | Frankreich | EUR | Bond | - | - | unknown | 0.0006693959 |
BBG00Y79KH53 AAREAL BANK AG 11/27 0.25 11/27 | DE000A289LU4 | Deutschland | EUR | Bond | - | - | unknown | 0.0006683757 |
BBG0129068Q2 ENBW ENERGIE BADEN WU SUBORDINATED REGS 08/81 VAR | XS2381272207 | Deutschland | EUR | Bond | - | - | unknown | 0.0006682551 |
BBG00YC45XT4 SVENSKA HANDELSBANKEN AB 12/27 | XS2265968284 | Schweden | EUR | Bond | - | - | unknown | 0.0006682478 |
SNAM SPA 6/30 | XS2190256706 | Italien | EUR | Bond | - | - | unknown | 0.0006681092 |
BBG00YVF1LR0 BNP PARIBAS SA 1/30 | FR0014001JT3 | Frankreich | EUR | Bond | - | - | unknown | 0.0006678238 |
E.ON SE 05/29 AN612468 | XS1616411119 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.000667646 |
BBG00ZDNZBV0 WPC EUROBOND BV 6/30 | XS2306082293 | Niederlande | EUR | Bond | - | - | unknown | 0.0006674545 |
BBG00YFCBC85 GRAND CITY PROPERTIES SA | XS2271225281 | Luxemburg | EUR | Bond | - | - | unknown | 0.0006672551 |
EUREKO BV 02/25 EUR36444 | XS1180651587 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0006668845 |
BBG00YTZZ7V8 LB BADEN WUERTTEMBERG SR UNSECURED REGS 02/31 0.375 2/31 | DE000LB2CW16 | Deutschland | EUR | Bond | - | - | unknown | 0.0006660279 |
JT INTL FIN SERVICES BV COMPANY GUAR REGS 10/83 VAR | XS2238783778 | Niederlande | EUR | Bond | - | - | unknown | 0.0006658487 |
AUSTRALIA 4/30 | XS2152883406 | Australien | EUR | Bond | - | - | unknown | 0.0006657554 |
FCA BANK SPA IRELAND SR UNSECURED REGS 09/24 0.5 9/24 | XS2051914963 | Irland | EUR | Bond | - | - | unknown | 0.0006656024 |
BBG00YT2FVV0 KBCBB V0.125 01/14/29 1/29 | BE0002766476 | Belgien | EUR | Bond | - | - | unknown | 0.0006654211 |
BACARDI LTD 07/23 | XS0947658208 | Bermudas | EUR | Bond | Baa1 | - | unknown | 0.0006634244 |
HEATHROW FDG 1.50% TO 10/25 10/25 | XS2242979719 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.00066143 |
ZURICH FIN. (IREL.) DAC 9/50 | XS2189970317 | Irland | EUR | Bond | - | - | unknown | 0.0006613818 |
AUSTRALIA 4/30 | XS2160857798 | Australien | EUR | Bond | - | - | unknown | 0.0006608469 |
BBG00Z1FR837 LA BANQUE POSTALE SUBORDINATED REGS 08/32 VAR 8/32 | FR0014001R34 | Frankreich | EUR | Bond | - | - | unknown | 0.0006606747 |
DAIMLER AG 5/30 | DE000A289XG8 | Deutschland | EUR | Bond | - | - | unknown | 0.0006605421 |
RCI BANQUE SA 05/26 AS667493 | FR0013334695 | Frankreich | EUR | Bond | - | - | unknown | 0.000660355 |
GAZ CAPITAL SA 2.500% 2026-03-21 | XS1795409082 | Russland | EUR | Bond | - | - | unknown | 0.0006601965 |
BBG00YRRZH19 ALSTOM SA 1/29 | FR0014001EW8 | Frankreich | EUR | Bond | - | - | unknown | 0.000659267 |
ASSICURAZIONI GENERALI SUBORDINATED REGS 10/30 2.124 10/30 | XS2056491587 | Italien | EUR | Bond | - | - | unknown | 0.0006590727 |
2.25% ENEL 03/27 | XS2228373671 | Italien | EUR | Bond | - | - | unknown | 0.0006575316 |
IMPERIAL BRANDS FIN PLC | XS1951313680 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000657275 |
BBG00Y99YLB0 TELIA CO AB 0.37% 27/11/30 EUR 11/30 | XS2264161964 | Schweden | EUR | Bond | - | - | unknown | 0.0006567718 |
BRIGHT FOOD SINGAPORE 25 1.75 7/25 | XS2197770279 | Singapur | EUR | Bond | - | - | unknown | 0.0006559268 |
BBG00YRS70N1 GYCGR 0.125 01/11/28 1/28 | XS2282101539 | Luxemburg | EUR | Bond | - | - | unknown | 0.0006555218 |
BBG00ZMWVX64 CADENT FINANCE PLC 3/30 | XS2320438653 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006553912 |
BBG0107S0918 AEROPORTI DI ROMA SPA 07/31 1.75 7/31 | XS2337326727 | Italien | EUR | Bond | - | - | unknown | 0.0006550355 |
SMURFIT KAPPA TREASURY | XS2050968333 | Irland | EUR | Bond | - | - | unknown | 0.0006543283 |
CARLSBERG BREWERIES A/S 6/27 | XS2191509038 | Dänemark | EUR | Bond | - | - | unknown | 0.0006539395 |
E.ON SE | XS2047500926 | Deutschland | EUR | Bond | - | - | unknown | 0.0006533939 |
JYSKE BANK A/S 10/25 | XS2243666125 | Dänemark | EUR | Bond | - | - | unknown | 0.0006529189 |
STRYKER CORP 11/30 AV513031 | XS1914502643 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006526595 |
HERA SPA 01/28 | XS0880764435 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0006509016 |
BBG010FN8903 BLACKSTONE PROPERTY PARTNERS E 5/28 | XS2338355014 | Luxemburg | EUR | Bond | - | - | unknown | 0.0006471497 |
ASSICURAZIONI GENERALI, 2.429% 14JUL2031 7/31 | XS2201857534 | Italien | EUR | Bond | - | - | unknown | 0.0006460777 |
BBG00YZBHL34 CBRE GI OPEN END FUND SR UNSECURED REGS 01/28 0.5 1/28 | XS2286044024 | Luxemburg | EUR | Bond | - | - | unknown | 0.0006456507 |
1.375% DANSKE BANK 02/30 | XS2078761785 | Dänemark | EUR | Bond | - | - | unknown | 0.0006445419 |
NATIONWIDE BUILDING SOCIETY FRN + 1.500% 2026-03-08 | XS1788834700 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000643711 |
BBG01173JZV0 EBOXLN 0.95 06/02/26 6/26 | XS2347379377 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006400522 |
BBG00Z1R78C3 AUST + NZ BANKING GROUP SUBORDINATED REGS 05/31 VAR 5/31 | XS2294372169 | Australien | EUR | Bond | - | - | unknown | 0.0006383648 |
BBG011F3XKS2 CTPNV 0.5 06/21/25 EMTN 6/25 | XS2356029541 | Niederlande | EUR | Bond | - | - | unknown | 0.0006362837 |
BBG0116XN0X5 OJSC NOVO(STEEL FUNDING) SR UNSECURED REGS 06/26 1.45 6/26 | XS2346922755 | Irland | EUR | Bond | - | - | unknown | 0.0006361559 |
BBG010RRXT81 EURONEXT NV 5/31 | DK0030486402 | Niederlande | EUR | Bond | - | - | unknown | 0.0006355724 |
BBG00YRRXST7 SWEDBANK AB 1/28 | XS2282210231 | Schweden | EUR | Bond | - | - | unknown | 0.0006355093 |
GB 04/24 EUR51894 | XS1395010397 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0006332424 |
BBG011F3XLZ2 CTPNV 1.25 06/21/29 EMTN 6/29 | XS2356030556 | Niederlande | EUR | Bond | - | - | unknown | 0.0006323976 |
CHUBB INA HOLDINGS INC 0.875% 2027-06-15 | XS2012102674 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000631373 |
BBG011PQP548 SRBANK V0.375 07/15/27 7/27 | XS2363982344 | Norwegen | EUR | Bond | - | - | unknown | 0.0006306139 |
FORTUM OYJ 02/29 AX309719 | XS1956027947 | Finnland | EUR | Bond | Baa2 | - | unknown | 0.0006300226 |
ARGENTUM (ZURICH INS) 02/29 AX166343 | XS1942708527 | Schweiz | EUR | Bond | - | - | unknown | 0.0006292393 |
ABBVIE INC 11/28 EUR53668 | XS1520907814 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0006288105 |
BUNGE FINANCE EUROPE BV 06/23 EUR52460 | XS1405777316 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0006286045 |
BBG00ZDPFSM0 EP INFRASTRUCTURE AS 3/31 | XS2304675791 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0006279326 |
AMERICAN TOWER CORP 1/28 | XS2227905903 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006276191 |
ITALGAS SPA 01/29 AP096337 | XS1685542497 | Italien | EUR | Bond | - | - | unknown | 0.0006265599 |
VODAFONE GROUP PLC 11/29 AQ049869 | XS1721422068 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006256378 |
VOLKSWAGEN 10/27 AX848286 | XS1972547696 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0006228947 |
PSA BANQUE FRANCE 0.625% 2024-06-21 | XS2015267953 | Frankreich | EUR | Bond | - | - | unknown | 0.0006219922 |
BBG01135LD18 POLSKI KONCERN NAFTOWY SR UNSECURED REGS 05/28 1.125 5/28 | XS2346125573 | Polen | EUR | Bond | - | - | unknown | 0.0006213927 |
BBG00Y5Z66W7 UPM KYMMENE OYJ SR UNSECURED REGS 11/28 0.125 11/28 | XS2257961818 | Finnland | EUR | Bond | - | - | unknown | 0.0006212804 |
NETHERLANDS 4/30 | XS2156598281 | Niederlande | EUR | Bond | - | - | unknown | 0.0006201571 |
NASDAQ INC 2/30 | XS2010032881 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006200307 |
TEVA PHARMA FIN NL II 03/27 EUR37774 | XS1211044075 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.0006198943 |
BBG00Z7XCCM8 SPAREBANK1 SMN 2/28 | XS2303089697 | Norwegen | EUR | Bond | - | - | unknown | 0.0006198286 |
MARSH & MCLENNAN COS INC 09/26 AX683320 | XS1963836892 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006193787 |
FRESENIUS FINANCE IRELAND PLC 2/27 | XS1554373677 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0006184228 |
NETHERLANDS 5/30 | XS2169281487 | Niederlande | EUR | Bond | - | - | unknown | 0.0006178706 |
CONTINENTAL AG SR UNSECURED REGS 06/25 0.375 6/25 | XS2056430874 | Deutschland | EUR | Bond | - | - | unknown | 0.0006177271 |
COMMERZBANK AG 03/27 EUR54586 | DE000CZ40LW5 | Deutschland | EUR | Bond | Ba1 | - | unknown | 0.0006155693 |
APT PIPELINES LTD 03/27 EUR37437 | XS1205616698 | Australien | EUR | Bond | Baa2 | - | unknown | 0.0006134892 |
JOHNSON CONTROLS INTERNATIONAL 9/27 | XS2231330965 | Irland | EUR | Bond | - | - | unknown | 0.0006124432 |
BBG00Z6NJH70 NATIONAL BANK OF ABU DHABI 26 0.125 2/26 | XS2300313041 | Vereinigte Arabische Emirate | EUR | Bond | - | - | unknown | 0.0006095903 |
VOLKSWAGEN 09/23 | XS0968913342 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0006095843 |
BBG00ZF9H7L9 DSV PANALPINA FINANCE BV 3/31 | XS2308616841 | Niederlande | EUR | Bond | - | - | unknown | 0.0006095546 |
BBG01221ZMG5 VOLKSWAGENFIN SERV AG 2/25 | XS2374595127 | Deutschland | EUR | Bond | - | - | unknown | 0.0006095257 |
BBG00ZS96TJ2 FRESENIUS FINANCE IRELAND PLC 10/28 | XS2325565104 | Irland | EUR | Bond | - | - | unknown | 0.0006089746 |
BBG010ZXVTY2 DANA FINANCING LUXEMBOURG SARL 7/29 | XS2345315142 | Finnland | EUR | Bond | - | - | unknown | 0.0006079231 |
SCANIA CV AB 6/25 | XS2182067350 | Schweden | EUR | Bond | - | - | unknown | 0.0006076807 |
EXOR NV 01/28 AQ718355 | XS1753808929 | Niederlande | EUR | Bond | - | - | unknown | 0.0006066009 |
BBG011C6HKM2 JDE PEET'S NV 1/26 | XS2354444023 | Niederlande | EUR | Bond | - | - | unknown | 0.0006059338 |
GERMANY 10/27 | XS2152329053 | Deutschland | EUR | Bond | - | - | unknown | 0.0006056699 |
OMV AG 6/30 | XS2189613982 | Österreich | EUR | Bond | - | - | unknown | 0.0006055506 |
PHILIP MORRIS INTL INC | XS2035473748 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006051717 |
HEINEKEN NV 03/31 AU348883 | XS1877595014 | Niederlande | EUR | Bond | - | - | unknown | 0.0006030564 |
UNIONE DI BANCHE ITALIANE SPA 6/24 | XS2015314037 | Italien | EUR | Bond | - | - | unknown | 0.0006029295 |
LOGICOR FINANCING SARL 05/25 AV525113 | XS1909057306 | Luxemburg | EUR | Bond | - | - | unknown | 0.000602665 |
ALIMENTATION COUCHE TARD IN 05/26 C0219CAB | XS1405816312 | Kanada | EUR | Bond | Baa2 | - | unknown | 0.0006017645 |
ISS GLOBAL A/S 12/24 EUR33945 | XS1145526825 | Dänemark | EUR | Bond | Baa3 | - | unknown | 0.000599282 |
BBG0105TNCF1 HOCHTIEF AKTIENGESELLSCH 04/29 0.625 4/29 | DE000A3E5S00 | Deutschland | EUR | Bond | - | - | unknown | 0.0005980717 |
GLOBAL SWITCH FINANCE COMPANY GUAR REGS 10/30 1.375 10/30 | XS2241825111 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005980561 |
PHILIP MORRIS INTL INC | XS2035474126 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005976265 |
IRELAND 6/30 | XS2009861480 | Irland | EUR | Bond | - | - | unknown | 0.0005972836 |
MCKESSON CORP 11/25 581557BG | XS1567174286 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0005971535 |
VOLKSWAGEN LEASING GMBH 1.500% 2026-06-19 | XS2014291616 | Deutschland | EUR | Bond | - | - | unknown | 0.0005966776 |
HOCHTIEF AG 07/25 AT115939 | DE000A2LQ5M4 | Deutschland | EUR | Bond | - | - | unknown | 0.0005964165 |
DIGITAL DUTCH FINCO BV | XS2100664114 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005954762 |
DANSKE BANK A/S 06/24 AX751539 | XS1967697738 | Dänemark | EUR | Bond | A3 | - | unknown | 0.0005947192 |
BBG0113FXZQ7 AMERICAN TOWER CORP 5/29 | XS2346207892 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000591332 |
DELPHI AUTOMOTIVE PLC 03/25 EUR37044 | XS1197775692 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0005905745 |
HEIDELBERGCEMENT FINANCE LUXEMBOURG SA 1.125% 2027-12-01 | XS2018637327 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005898404 |
SCHAEFFLER AG 03/27 AX751861 | DE000A2YB7B5 | Deutschland | EUR | Bond | - | - | unknown | 0.0005898404 |
UNIONE DIBANCHE ITALIAN | XS2067213913 | Italien | EUR | Bond | - | - | unknown | 0.0005895165 |
FORD MOTORCREDIT CO LLC | XS2052337503 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000589171 |
BBG01221ZMY5 VOLKSWAGENFIN SERV AG 2/30 | XS2374594823 | Deutschland | EUR | Bond | - | - | unknown | 0.0005887142 |
STATE GRID OVERSEAS INVESTMENT (2016) LTD 1.375% 2025-05-02 | XS1810963147 | China | EUR | Bond | - | - | unknown | 0.0005877456 |
2% APT PIPELINES 07/30 | XS2164646304 | Australien | EUR | Bond | - | - | unknown | 0.0005864496 |
COCA-COLA EUROPEAN PARTN 11/27 AV498979 | XS1907122656 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0005850075 |
BBG00ZHY5012 BANK OF IRELAND GROUP SR UNSECURED REGS 05/27 VAR 5/27 | XS2311407352 | Irland | EUR | Bond | - | - | unknown | 0.000584309 |
IMPERIAL TOBACCO FIN PLC 01/25 EUR54720 | XS1558013360 | Großbritannien (UK) | EUR | Bond | Baa3 | - | unknown | 0.000583501 |
BBG010ZXXRY4 VOLKSWAGEN LEASING GMBH 7/29 | XS2343822503 | Deutschland | EUR | Bond | - | - | unknown | 0.000582572 |
CREDITO EMILIANO SPA SR UNSECURED 10/25 VAR | XS2068978050 | Italien | EUR | Bond | - | - | unknown | 0.0005819649 |
SUDZUCKER INTL FINANCE BV 11/25 AQ125274 | XS1724873275 | Deutschland | EUR | Bond | - | - | unknown | 0.000581245 |
BBG00YRRZWP0 VOLKSWAGEN LEASING GMBH 1/29 | XS2282095970 | Deutschland | EUR | Bond | - | - | unknown | 0.0005808965 |
FIDELITY NATIONAL INFORMATION | XS2085655590 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.000580762 |
MEDIOBANCA DI CRED FIN SR UNSECURED REGS 04/25 1.125 | XS2106861771 | Italien | EUR | Bond | - | - | unknown | 0.0005807503 |
1% BANK OF IRELAND GR. 11/25 | XS2082969655 | Irland | EUR | Bond | - | - | unknown | 0.0005797875 |
BRITISH AMERICAN TOBACCO 03/27 EUR37326 | XS1203859928 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005790013 |
BBG010Z1XF70 EUROFINS SCIENTIFIC SE SR UNSECURED REGS 05/31 0.875 5/31 | XS2343114687 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005788231 |
DIGITAL DUTCH FINCO BV 2/31 | XS2191362859 | Niederlande | EUR | Bond | - | - | unknown | 0.0005756633 |
IREN SPA | XS2065601937 | Italien | EUR | Bond | - | - | unknown | 0.0005753348 |
BLACKSTONE PROPERTY PARTNERS EUROP 4/27 | XS2247718435 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005740353 |
BERRY GLOBAL INC | XS2093880735 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005727804 |
VOLKSWAGEN 25 3.0 4/25 | XS2152062209 | Deutschland | EUR | Bond | - | - | unknown | 0.0005705874 |
SIGNIFY NV SR UNSECURED REGS 05/24 2 5/24 | XS2128498636 | Niederlande | EUR | Bond | - | - | unknown | 0.0005695536 |
HEIDELBERGCEMENT FINANCE LU 06/27 AN863182 | XS1629387462 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0005679104 |
BBG00Z9622W7 INTESA SANPAOLO SPA 2/26 | XS2304664167 | Italien | EUR | Bond | - | - | unknown | 0.0005651523 |
AMERICAN TOWER CORP 04/25 AM965706 | XS1591781452 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0005651082 |
GROUPAMA SA 1/27 | FR0013232444 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.000564093 |
HEIMSTADEN BOSTAD TREASURY BV 3/27 | XS2225207468 | Niederlande | EUR | Bond | - | - | unknown | 0.0005632468 |
MOL HUNGARIAN 1.5% OCT27 10/27 | XS2232045463 | Ungarn | EUR | Bond | - | - | unknown | 0.000563033 |
MOODY'S CORP | XS2010038227 | Vereinigte Staaten von Amerika | EUR | Bond | Caa1 | - | unknown | 0.0005617392 |
FRESENIUS FINANCE IRELAND PLC 1/24 | XS1554373248 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0005615374 |
MONDELEZ INTERNATIONAL HOLDING 9/29 | XS2235987224 | Niederlande | EUR | Bond | - | - | unknown | 0.0005615155 |
ORIGIN ENERGY FINANCE SR UNSECURED REGS 09/29 1 9/29 | XS2051788219 | Australien | EUR | Bond | - | - | unknown | 0.0005603623 |
BBG00Z962DQ0 INTESA SANPAOLO SPA 2/31 | XS2304664597 | Italien | EUR | Bond | - | - | unknown | 0.0005602898 |
TAKEDA PHARMACEUTICAL CO LTD 7/27 | XS2197348324 | Japan | EUR | Bond | - | - | unknown | 0.0005576216 |
UNIQA VERSICHERUNGEN AG 07/26 EUR40085 | XS1117293107 | Österreich | EUR | Bond | Baa2 | - | unknown | 0.0005563961 |
BARCLAYS PLC | XS2082324364 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000553134 |
MARSH & MCLENNAN COS INC 03/30 AX683321 | XS1963837197 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005513851 |
SERVICIOS MEDIO AMBIENTE 12/26 1E 06 | XS2081500907 | Spanien | EUR | Bond | - | - | unknown | 0.0005501385 |
DIGITAL EURO FINCO LLC 04/24 EUR51906 | XS1395180802 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0005482142 |
SES SA | XS2075811781 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000547942 |
BBG00Z6NQTT2 AKELIUS RESIDENTIAL PROPERTY F 2/30 | XS2301127119 | Niederlande | EUR | Bond | - | - | unknown | 0.0005471664 |
BBG00ZHMX1H8 AUSNET SERVICES HOLDINGS 03/81 1 | XS2308313860 | Australien | EUR | Bond | - | - | unknown | 0.0005454971 |
BBG00YZ28JL9 CPI PROPERTY GROUP SA SR UNSECURED REGS 01/31 1.5 1/31 | XS2290544068 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005428996 |
BBG0103TRGD2 DANFOSS FIN 2 BV COMPANY GUAR REGS 04/31 0.75 4/31 | XS2332689764 | Niederlande | EUR | Bond | - | - | unknown | 0.0005423808 |
BBG00YRRZCL8 ATH 0.625 01/12/28 1/28 | XS2282195176 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005423061 |
BBG0105TSGP6 FOMENTO ECONOMICO MEX SR UNSECURED 05/28 0.5 5/28 | XS2337285519 | Mexiko | EUR | Bond | - | - | unknown | 0.0005420957 |
AUSGRID FINANCE PTY LTD 1.250% 2025-07-30 | XS1812905526 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0005415441 |
PVH CORP 7/24 | XS1435229460 | Vereinigte Staaten von Amerika | EUR | Bond | Ba2 | - | unknown | 0.0005410639 |
RCI BANQUE SA 04/26 AX895475 | FR0013412707 | Frankreich | EUR | Bond | - | - | unknown | 0.0005409381 |
CNP ASSURANCES 06/27 EUR45013 | FR0013066388 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.000540917 |
EANDIS 05/29 | BE0002470459 | Belgien | EUR | Bond | A3 | - | unknown | 0.0005404484 |
BBG0103TRFQ0 DANFOSS FIN I BV COMPANY GUAR REGS 10/28 0.375 10/28 | XS2332689681 | Niederlande | EUR | Bond | - | - | unknown | 0.0005396601 |
UNITED KINGDOM 4/30 | XS2156787173 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005381121 |
CREDIT MUTUEL ARKEA 02/29 EUR54775 | FR0013236544 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0005329019 |
MEDIOBANCA BANCA DI CREDITO FI | XS2090859252 | Italien | EUR | Bond | - | - | unknown | 0.000529831 |
RCI BANQUE SA | FR0013476090 | Frankreich | EUR | Bond | - | - | unknown | 0.0005293378 |
CYRUSONE LP/CYRUSONE FIN COMPANY GUAR 01/27 1.45 | XS2089972629 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000528747 |
CTP B.V. 10/25 2.125 10/25 | XS2238342484 | Niederlande | EUR | Bond | - | - | unknown | 0.0005283902 |
ELM BV (SWISS LIFE) 05/27 EUR53159 | XS1492580516 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0005282598 |
ITALGAS SPA | XS2032727310 | Italien | EUR | Bond | - | - | unknown | 0.0005274225 |
MACQUARIEGROUP LTD | XS2105735935 | Australien | EUR | Bond | - | - | unknown | 0.0005273356 |
SCOR 05/28 EUR52325 | FR0013179314 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0005272717 |
ASR NEDERLAND NV 09/25 EUR42113 | XS1293505639 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0005264275 |
FRESENIUSMEDICAL CARE A 5/30 | XS2178769159 | Deutschland | EUR | Bond | - | - | unknown | 0.0005262925 |
BBG00Z3T4T25 ESSITY AB 2/31 | XS2297177664 | Schweden | EUR | Bond | - | - | unknown | 0.0005260008 |
PHILIP MORRIS INTL INC 05/29 | XS1066312395 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0005258232 |
CORPORACION MAPFRE 09/28 AU313549 | ES0224244097 | Spanien | EUR | Bond | - | - | unknown | 0.0005247332 |
FRESENIUS SE & CO KGAA 02/29 AW506585 | XS1936208419 | Deutschland | EUR | Bond | - | - | unknown | 0.000524192 |
UNIBAIL 04/30 EUR38147 | XS1218363270 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0005220664 |
LOGICOR FINANCING SARL 11/28 AV525114 | XS1909057645 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005207325 |
HELVETIA EUROPE SA COMPANY GUAR REGS 09/41 VAR 9/41 | XS2197076651 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005205628 |
CORPORACION MAPFRE 03/27 AM945790 | ES0224244089 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0005195305 |
NISSAN MOTOR CO 9/23 | XS2228676735 | Japan | EUR | Bond | - | - | unknown | 0.0005167413 |
SAMPO OYJ FRN + 3.375% 2049-05-23 | XS1995716211 | Finnland | EUR | Bond | - | - | unknown | 0.0005153775 |
VOLKSWAGEN 11/27 AV622521 | XS1910948162 | Deutschland | EUR | Bond | - | - | unknown | 0.000515088 |
3.75% GLENCORE FINANCE EUROPE 04/26 | XS1050842423 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0005148061 |
CONTI GUMMI FINANCE B.V. 9/24 | XS2193657561 | Niederlande | EUR | Bond | - | - | unknown | 0.0005139552 |
WHIRLPOOL FINANCE LUXEMBOUR 11/27 AP887179 | XS1716616179 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005131823 |
GROUPAMA SA 09/28 AU556291 | FR0013365640 | Frankreich | EUR | Bond | - | - | unknown | 0.0005130374 |
0.875% CHUBB INA HLDGS. 12/29 | XS2091606330 | Schweiz | EUR | Bond | - | - | unknown | 0.000512036 |
PVH CORP 12/27 | XS1734066811 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005119488 |
CNP ASSURANCES 02/29 AW919102 | FR0013399680 | Frankreich | EUR | Bond | - | - | unknown | 0.0005119377 |
JEFFERIESGROUP LLC 07/24 ACI1D8QS2 | XS2030530450 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005110409 |
CNP ASSURANCES 06/25 | FR0011949403 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0005109372 |
AGEAS NV FRN + 3.250% 2049-07-02 | BE0002644251 | Belgien | EUR | Bond | - | - | unknown | 0.0005100966 |
ELM BV FOR HELVETIA SCHWEIZ 09/27 AM962912 | XS1587893451 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0005100428 |
LA BANQUE POSTALE 06/28 EUR52368 | FR0013181898 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0005090419 |
RENTOKIL INITTAL PLC 10/28 | XS2242921711 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005084213 |
BRITISH AMERICAN TOBACCO 03/29 | XS1043097630 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005079024 |
AMADEUS ITGROUP SA 5/27 | XS2177555062 | Spanien | EUR | Bond | - | - | unknown | 0.0005069378 |
CHUBB INA HOLDINGS INC 1.400% 2031-06-15 | XS2012102914 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005061602 |
BBG00XY97DM0 ABBVIE INC 6/29 | XS2125914916 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005060461 |
VONOVIA FINANCE BV COMPANY GUAR REGS 04/30 2.25 4/30 | DE000A28VQD2 | Deutschland | EUR | Bond | - | - | unknown | 0.0005060377 |
0.6% OP CORPORATE BANK 01/27 | XS2102924383 | Finnland | EUR | Bond | - | - | unknown | 0.0005056687 |
VODAFONE GROUP PLC 10/28 AU692498 | XS1888179550 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005051298 |
XL GROUP LTD 06/27 AO083869 | XS1633784183 | Kaiman Inseln | EUR | Bond | Baa3 | - | unknown | 0.0005043953 |
SCANIA CV AB 10/23 | XS2236283383 | Schweden | EUR | Bond | - | - | unknown | 0.0005043765 |
WENDEL INVESTISSEMENT 02/27 EUR36517 | FR0012516417 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0005040249 |
BELFIUS BANK SA 05/26 EUR52114 | BE0002251206 | Belgien | EUR | Bond | Baa3 | - | unknown | 0.0005032862 |
FCC AQUALIA SA 06/27 AN684741 | XS1627343186 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0005021042 |
GAZ CAPITAL SA 03/25 | XS0906949523 | Russland | EUR | Bond | - | - | unknown | 0.0005012594 |
HOLDING D'INFRASTRUCTURES DE T 5/27 | FR0013510823 | Frankreich | EUR | Bond | - | - | unknown | 0.0005012547 |
ASR NEDERLAND NV FRN + 3.375% 2049-05-02 | XS1989708836 | Niederlande | EUR | Bond | - | - | unknown | 0.0005011996 |
BPCE SA 04/26 EUR51959 | FR0013155009 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.000501118 |
IE2 HOLDCO SAU 06/26 EUR52352 | XS1419664997 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0005005183 |
LANDESBANK BADEN WUERTTEMB 06/25 EUR39309 | XS1246732249 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.000500489 |
AMERICA MOVIL SA DE CV 03/28 EUR51652 | XS1379122523 | Mexiko | EUR | Bond | A3 | - | unknown | 0.0005001389 |
JAB HOLDINGS BV 4/27 | DE000A28V301 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004995801 |
"DOVER CORP" 11/26 | XS1405765733 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004986108 |
BANQUE FED CRED MUTUEL 03/27 AM964546 | XS1587911451 | Frankreich | EUR | Bond | A3 | - | unknown | 0.000498337 |
THERMO FISHER SCIENTIFIC 07/29 883556BV | XS1651071950 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004983037 |
HANNOVER RUECK SE 06/25 EUR32777 | XS1109836038 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0004981103 |
CNP ASSURANCES 11/24 EUR33702 | FR0012317758 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004979735 |
SUEZ ENVIRONNEMENT SA 09/30 AU388932 | FR0013359254 | Frankreich | EUR | Bond | - | - | unknown | 0.0004974913 |
BNP PARIBAS 01/26 EUR44356 | XS1325645825 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004965519 |
ZIMMER HOLDINGS INC 12/26 EUR53860 | XS1532779748 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0004953794 |
LANDESBANK BADEN WUERTTEMB 09/26 EUR53168 | DE000LB1B2E5 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0004950701 |
COCA COLA HBC FINANCE BV 1.625% 2031-05-14 | XS1995795504 | Schweiz | EUR | Bond | - | - | unknown | 0.0004949709 |
AVIVA PLC 07/24 | XS1083986718 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0004942691 |
ROYAL SCHIPHOL GROUP NV 11/30 AU927502 | XS1900101046 | Niederlande | EUR | Bond | - | - | unknown | 0.0004939441 |
BBG00ZVJ7VF4 HOLCIM FINANCE LUXEMBOURG SA 4/30 | XS2328418186 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004933484 |
MERLIN PROPERTIES SOCIMI SR UNSECURED REGS 07/27 2.375 7/27 | XS2201946634 | Spanien | EUR | Bond | - | - | unknown | 0.0004929581 |
SOLVAY SA 11/23 | XS0992293901 | Frankreich | EUR | Bond | Ba1 | - | unknown | 0.0004923508 |
MCDONALD'S CORP 03/31 AX613942 | XS1963745234 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.000491706 |
WPP FINANCE DEUTSCHLAND GMB 03/30 EUR37389 | XS1205548164 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0004915973 |
"ACEA SPA" 5/28 | XS2001278899 | Italien | EUR | Bond | - | - | unknown | 0.0004914539 |
STANDARD CHARTERED BANK 11/24 EUR33751 | XS1140857316 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004914267 |
RAIFFEISEN BANK INT. 6/32 | XS2189786226 | Österreich | EUR | Bond | - | - | unknown | 0.000490804 |
NASDAQ OMX GROUP 03/29 AX848246 | XS1843442622 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004899943 |
HANNOVER FINANCE SA 06/23 | XS0856556807 | Deutschland | EUR | Bond | A2 | CDAX Index | unknown | 0.0004894843 |
SMITHS INDUSTRIES PLC 02/27 AM544815 | XS1570260460 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0004890515 |
CELANESE US HOLDINGS LLC 03/27 AV231733 | XS1901137361 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004889481 |
SPP INFRASTRUCTURE FINANCIN 02/25 EUR36616 | XS1185941850 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.000488901 |
BECTON DICKINSON & CO 12/26 EUR53812 | XS1531347661 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004883364 |
NORTEGAS ENERGIA DISTRIBUCI 09/27 AP251594 | XS1691349952 | Spanien | EUR | Bond | - | - | unknown | 0.0004882733 |
COVIVIO SR UNSECURED REGS 06/30 1.625 6/30 | FR0013519279 | Frankreich | EUR | Bond | - | - | unknown | 0.0004880141 |
BBG011359R02 TECHNIP ENERGIES NV 05/28 1.125 5/28 | XS2347284742 | Frankreich | EUR | Bond | - | - | unknown | 0.0004876516 |
MCDONALD'S CORP 11/29 AQ125557 | XS1725633413 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004871192 |
"EASTMAN CHEMICAL CO" 11/26 | XS1523250295 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004870922 |
BRITISH TELECOMMUNICATIONS 09/28 AU633817 | XS1886403200 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004868962 |
BP CAPITAL MARKETS PLC 07/28 AT343794 | XS1851278777 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004868844 |
TRANSURBAN FINANCE CMPNY 03/28 AO953984 | XS1681520786 | Australien | EUR | Bond | - | - | unknown | 0.000486793 |
AIB GROUP PLC 07/25 AT300242 | XS1849550592 | Irland | EUR | Bond | - | - | unknown | 0.0004866452 |
WENDEL INVESTISSEMENT 10/24 EUR33086 | FR0012199156 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0004865463 |
HOLDING D'INFRASTRUCTURES D 03/25 EUR32812 | XS1111108673 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0004857506 |
ALBEMARLE NEW HOLDING GMBH | XS2083147343 | Deutschland | EUR | Bond | - | - | unknown | 0.0004854253 |
DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/30 1.5 4/30 | DE000A289NF1 | Deutschland | EUR | Bond | - | - | unknown | 0.0004852184 |
INTERCONTINENTAL HOTELS 05/27 AV354943 | XS1908370171 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004851919 |
COMMERZBANK AG 02/28 AR405462 | DE000CZ40MM4 | Deutschland | EUR | Bond | - | - | unknown | 0.0004849107 |
AMERICAN TOWER CORP 05/26 03027XAS | XS1823300949 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004843792 |
CEPSA FINANCE SA COMPANY GUAR REGS 02/26 2.25 2/26 | XS2202744384 | Spanien | EUR | Bond | - | - | unknown | 0.0004840947 |
BERLIN HYP AG 1.500% 2028-04-18 | DE000BHY0GB5 | Deutschland | EUR | Bond | - | - | unknown | 0.0004840023 |
AMADEUS IT GROUP SA SR UNSECURED REGS 09/28 1.875 9/28 | XS2236363573 | Spanien | EUR | Bond | - | - | unknown | 0.0004839268 |
MANPOWER INC 06/26 AS929206 | XS1839680680 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004838742 |
REDEXIS GAS FINANCE BV 04/27 EUR38338 | XS1223842847 | Spanien | EUR | Bond | - | - | unknown | 0.0004837141 |
BNP PARIBAS 11/25 AV645477 | FR0013381704 | Frankreich | EUR | Bond | - | - | unknown | 0.000483707 |
PERUSAHAAN LISTRIK NEGARA 10/25 AV003409 | XS1891336932 | Indonesien | EUR | Bond | - | - | unknown | 0.0004836865 |
DELPHI AUTOMOTIVE PLC 09/28 EUR52999 | XS1485603747 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.000483603 |
GROUPE VYV 1.625% 2029-07-02 | FR0013430840 | Frankreich | EUR | Bond | - | - | unknown | 0.0004835311 |
KENNEDY WILSON EUROPE REAL 11/25 EUR43851 | XS1321149434 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0004834016 |
SANEF SA 03/26 EUR43905 | FR0013053329 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004829908 |
GLOBALWORTH REAL ESTATE INVESTMENTS LTD 3/25 | XS1799975922 | Rumänien | EUR | Bond | - | - | unknown | 0.0004823344 |
UNIQA INSURANCE GROUP AG 7/30 | XS2199604096 | Österreich | EUR | Bond | - | - | unknown | 0.0004821895 |
ASF 01/24 | FR0011694033 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004820662 |
ALTAREIT SCA 07/25 AT002902 | FR0013346814 | Frankreich | EUR | Bond | - | - | unknown | 0.0004818754 |
SOCIETE FONCIERE LYONNAI 06/27 1.5 6/27 | FR0013515871 | Frankreich | EUR | Bond | - | - | unknown | 0.0004818107 |
NTPC LTD 02/27 EUR54739 | XS1551677260 | Indien | EUR | Bond | Baa3 | - | unknown | 0.0004816504 |
SYDNEY AIRPORT FINANCE COMPANY PTY LTD 1.750% 2028-04-26 | XS1811198701 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0004815987 |
LANDESBANK BADEN WUERTTEMBERG 2.200% 2029-05-09 | DE000LB13HZ5 | Deutschland | EUR | Bond | - | - | unknown | 0.0004814844 |
ICADE 02/28 AR386964 | FR0013320058 | Frankreich | EUR | Bond | - | - | unknown | 0.0004813983 |
BANQUE FED CRED MUTUEL 11/26 EUR53537 | XS1512677003 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004811444 |
ATF NETHERLANDS BV 01/26 AO339051 | XS1649193403 | Deutschland | EUR | Bond | - | - | unknown | 0.0004810494 |
DISCOVERY COMMUNICATIONS LL 03/27 EUR37390 | XS1117298247 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0004809839 |
HOLDING D'INFRASTRUCTURES D 11/27 AQ094352 | FR0013298676 | Frankreich | EUR | Bond | - | - | unknown | 0.0004806934 |
ACCOR SA 09/23 EUR41383 | FR0012949949 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0004806804 |
ELM BV (SWISS REIN CO) 09/25 EUR37695 | XS1209031019 | Niederlande | EUR | Bond | A2 | - | unknown | 0.000480669 |
CNH INDUSTRIAL FINANCE EURO 01/26 AU499049 | XS1823623878 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004805997 |
AMADEUS IT GROUP SA 09/26 AU390057 | XS1878191219 | Spanien | EUR | Bond | - | - | unknown | 0.0004805254 |
CNH INDUSTRIAL FINANCE EUROPE SA 1.625% 2029-07-03 | XS2022084367 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004804233 |
BLACKSTONE PP EUR HOLD 07/25 AT635190 | XS1851268893 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004799863 |
UNIBAIL 05/29 AN646273 | XS1619568303 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0004793913 |
SCENTRE MANAGEMENT LTD 07/24 EUR29497 | XS1087816374 | Australien | EUR | Bond | A1 | - | unknown | 0.0004793671 |
MOLNLYCKE HOLDING AB 02/25 AL500391 | XS1564337993 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0004790299 |
UNIBAIL 02/28 AM529194 | XS1569845404 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0004788982 |
WPC EUROBOND BV 07/24 EUR54655 | XS1533928971 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004787343 |
SUMITOMO MITSUI FIN GROUP 06/27 AN720007 | XS1621087516 | Japan | EUR | Bond | A1 | - | unknown | 0.00047857 |
IMERYS SA 12/24 EUR34223 | FR0012370872 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.000478499 |
VOLVO TREASURY AB 03/23 EUR34225 | XS1150695192 | Schweden | EUR | Bond | - | - | unknown | 0.0004783191 |
ESSELUNGA SPA 10/27 AP638519 | XS1706922256 | Italien | EUR | Bond | - | - | unknown | 0.0004780952 |
HOLDING D'INFRASTRUCTURES DE T 9/29 | XS2231183646 | Frankreich | EUR | Bond | - | - | unknown | 0.0004780939 |
REDEXIS GAS FINANCE BV 5/25 | XS2178957077 | Niederlande | EUR | Bond | - | - | unknown | 0.0004780093 |
STANDARD CHARTERED BANK 10/26 AP306652 | XS1693281617 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000477982 |
TELFONICA DEUTSCH FINAN 07/25 AS674440 | XS1851313863 | Deutschland | EUR | Bond | - | - | unknown | 0.0004778029 |
INMOBILIARIA COLONIAL SOCIM 11/25 AQ124824 | XS1725677543 | Spanien | EUR | Bond | - | - | unknown | 0.0004776243 |
CAPITAL ONE FINANCIAL CORP 1.650% 2029-06-12 | XS2010331440 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004773727 |
IMERYS SA 01/27 EUR54621 | FR0013231768 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004773253 |
BBG00ZHY1V18 EATON CAPITAL UNLIMITED CO 3/30 | XS2310748483 | Irland | EUR | Bond | - | - | unknown | 0.0004771875 |
MMS USA FINANCING INC 1.250% 2028-06-13 | FR0013425147 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004771364 |
IMMOFINANZ AG SR UNSECURED REGS 10/27 2.5 10/27 | XS2243564478 | Österreich | EUR | Bond | - | - | unknown | 0.0004768484 |
"TRANSURBAN FINANCE COMPANY PTY LTD" 5/29 | XS1997077364 | Australien | EUR | Bond | - | - | unknown | 0.0004765924 |
LA MONDIALE SAM 6/31 | FR0013519261 | Frankreich | EUR | Bond | - | - | unknown | 0.0004764174 |
CANAL DE ISABEL II GESTION 02/25 EUR36811 | ES0205061007 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0004763601 |
AUCHAN SA 01/24 AW852557 | FR0013399060 | Frankreich | EUR | Bond | - | - | unknown | 0.0004762503 |
EUTELSAT SA 2.250% 2027-07-13 | FR0013422623 | Frankreich | EUR | Bond | - | - | unknown | 0.0004762329 |
KONINKLIJKE PHILIPS NV SR UNSECURED REGS 03/30 2 3/30 | XS2149379211 | Niederlande | EUR | Bond | - | - | unknown | 0.0004757767 |
JAB HOLDINGS BV 04/25 EUR38403 | DE000A1Z0TA4 | Österreich | EUR | Bond | Baa1 | - | unknown | 0.0004757629 |
STATE GRID OVERSEAS INVESTM 05/25 EUR52217 | XS1402177601 | China | EUR | Bond | A1 | - | unknown | 0.0004756707 |
ABERTIS INFRAESTRUCTURAS | XS2025480596 | Spanien | EUR | Bond | - | - | unknown | 0.0004756605 |
FASTIGHETS AB BALDER 01/26 AO868478 | XS1677912393 | Schweden | EUR | Bond | - | - | unknown | 0.0004756511 |
ACCOR SA 02/26 AW898691 | FR0013399029 | Frankreich | EUR | Bond | - | - | unknown | 0.0004752236 |
GRAND CITY PROPERTIES SA 02/27 AR386350 | XS1781401085 | Deutschland | EUR | Bond | - | - | unknown | 0.0004751889 |
COLSM 1.35 10/14/28 10/28 | ES0239140017 | Spanien | EUR | Bond | - | - | unknown | 0.0004748562 |
CAISSE NAT REASSURANCE 09/29 2.125 9/29 | FR0013447125 | Frankreich | EUR | Bond | - | - | unknown | 0.0004746073 |
PROSEGUR CASH SA 02/26 AQ001113 | XS1729879822 | Spanien | EUR | Bond | - | - | unknown | 0.0004745318 |
BANQUE FED CRED MUTUEL 11/27 AP909096 | XS1717355561 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004744265 |
NIBC BANK NV 2.000% 2024-04-09 | XS1978668298 | Niederlande | EUR | Bond | - | - | unknown | 0.0004742778 |
SELP FINANCE SARL 1.500% 2026-12-20 | XS2015240083 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004740885 |
ELIA SYSTEM OP SA/NV 12/23 AU216832 | BE0002597756 | Belgien | EUR | Bond | - | - | unknown | 0.0004740084 |
OMV AG VAR PERP | XS2224439385 | Österreich | EUR | Bond | - | - | unknown | 0.0004738807 |
GLENCORE INTERNATIONAL AG 03/25 EUR37283 | XS1202849086 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0004738652 |
SELP FINANCE SARL 11/25 AP998937 | XS1720761490 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004736684 |
TLG IMMOBILEN AG 1.500% 2026-05-28 | XS1843435501 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004736274 |
MEDIOBANCA 01/25 AX873251 | XS1973750869 | Italien | EUR | Bond | - | - | unknown | 0.0004735626 |
ANGLO AMERICAN CAPITAL PLC 03/26 AX543265 | XS1962513674 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004735237 |
TIKEHAU CAPITAL SCA 10/26 ACI1G2365 | FR0013452893 | Frankreich | EUR | Bond | - | - | unknown | 0.0004735209 |
IN LI SR UNSECURED REGS 07/29 1.125 07/29 AZ2976761 | FR0013430535 | Frankreich | EUR | Bond | - | - | unknown | 0.0004735117 |
GENERAL MOTORS FINANCIAL COMPANY INC 1.694% 2025-03-26 | XS1792505866 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004733902 |
FRESENIUS MEDICAL CARE AG & CO | XS2084488209 | Deutschland | EUR | Bond | - | - | unknown | 0.0004731452 |
DE VOLKSBANK NV 10/30 | XS2202902636 | Niederlande | EUR | Bond | - | - | unknown | 0.0004730942 |
GLENCORE FINANCE (EUROPE) LTD 1.500% 2026-10-15 | XS1981823542 | Schweiz | EUR | Bond | - | - | unknown | 0.0004730876 |
TAURON POLSKA ENERGIA SA 07/27 AO148320 | XS1577960203 | Polen | EUR | Bond | Baa2 | - | unknown | 0.0004730602 |
IE2 HOLDCO SAU 11/23 EUR44765 | XS1326311070 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0004728583 |
OMV AG VAR PERP | XS2224439971 | Österreich | EUR | Bond | - | - | unknown | 0.0004727543 |
TEOLLISUUDEN VOIMA OYJ 02/25 EUR36460 | XS1183235644 | Finnland | EUR | Bond | Baa1 | - | unknown | 0.0004724974 |
ANNINGTON FUNDING PLC 07/24 AO248647 | XS1645519031 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004723993 |
KOJAMO PLC 1.625% 2025-07-03 | XS1785356251 | Finnland | EUR | Bond | - | - | unknown | 0.000472376 |
FORD MOTOR CREDIT COMPANY LLC 2.386% 2026-02-17 | XS2013574384 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004722625 |
BBG00Q9LPC11 TLG FINANCE SARL COMPANY GUAR REGS VAR 12/24 | XS2055106210 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004721618 |
SIGMA ALIMENTOS SA DE CV 02/24 EUR54791 | XS1562623584 | Mexiko | EUR | Bond | Baa2 | - | unknown | 0.0004721366 |
DONG A/S 11/24 AQ077157 | XS1720192696 | Dänemark | EUR | Bond | - | - | unknown | 0.0004720824 |
BBG011BXVRB5 BEVLUX 1 01/16/30 1/30 | XS2348703864 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004720066 |
SAMHALLSBYGGNADSBOLAGET I NORDEN AB 1.750% 2025-01-14 | XS1993969515 | Schweden | EUR | Bond | - | - | unknown | 0.0004718671 |
ORLEN CAPITAL AB 06/23 EUR52392 | XS1429673327 | Polen | EUR | Bond | Baa2 | - | unknown | 0.0004716365 |
AUTOSTRADE PER L'ITALIA SPA 11/25 EUR43569 | XS1316569638 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0004715117 |
AEROPORTI DI ROMA SPA 06/27 AN738727 | XS1627947440 | Italien | EUR | Bond | Baa1 | - | unknown | 0.000471334 |
THALES SA SR UNSECURED REGS 05/28 1 5/28 | FR0013512969 | Frankreich | EUR | Bond | - | - | unknown | 0.0004712877 |
GOODMAN AUSTRALIA FINANCE 09/25 AP237516 | XS1577951129 | Australien | EUR | Bond | - | - | unknown | 0.0004712227 |
ACCOR SA 01/24 EUR54690 | FR0013233384 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.000471136 |
SAGAX AB 01/24 AU457627 | XS1877540465 | Schweden | EUR | Bond | - | - | unknown | 0.0004704724 |
METRO AG 03/25 EUR37316 | XS1203941775 | Deutschland | EUR | Bond | Ba1 | - | unknown | 0.0004704678 |
BANCA POPOLARE DI SONDRIO SCPA 2.375% 2024-04-03 | XS1975757789 | Italien | EUR | Bond | - | - | unknown | 0.0004704142 |
AUTOSTRADE SPA 09/25 | XS0542534192 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0004703608 |
BLACKSTONE HOLDINGS 10/26 EUR53242 | XS1499602289 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0004702719 |
CK HUTCHISON EUROPE FINANCE (18) LTD 1.250% 2025-04-13 | XS1806124753 | Kaiman Inseln | EUR | Bond | - | - | unknown | 0.0004700185 |
UNIONE DI BANCHE ITALIANE SPA 1.500% 2024-04-10 | XS1979446843 | Italien | EUR | Bond | - | - | unknown | 0.0004698248 |
JT INTL FIN SERVICES BV 09/25 AU589141 | XS1883352095 | Niederlande | EUR | Bond | - | - | unknown | 0.0004693928 |
ALLIANDER NV 06/25 AR008123 | XS1757377400 | Niederlande | EUR | Bond | - | - | unknown | 0.0004693895 |
NE PROPERTY BV 2.625% 2023-05-22 | XS1996435928 | Niederlande | EUR | Bond | - | - | unknown | 0.0004693168 |
KBC GROUP NV 09/24 AP096505 | BE0002290592 | Belgien | EUR | Bond | - | - | unknown | 0.0004691607 |
ENTE NAZIONALE PER L'ENERGI 11/23 AS640422 | XS1713463716 | Italien | EUR | Bond | - | - | unknown | 0.0004691538 |
AROUNDTOWN SA | XS2023873149 | Deutschland | EUR | Bond | - | - | unknown | 0.0004688087 |
SOCIETA INIZ AUTOSTRADAL 02/28 AQ887974 | XS1765875718 | Italien | EUR | Bond | - | - | unknown | 0.0004684297 |
VALEO SA 03/26 EUR51690 | FR0013139482 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004684151 |
BBG00Z8W5R99 NYKREDIT REALKREDIT AS 1/28 | DK0030484548 | Dänemark | EUR | Bond | - | - | unknown | 0.0004682736 |
ROYAL KPN NV 09/28 EUR52990 | XS1485533431 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0004681696 |
BBG0115J5PV4 METROPOLITAN LIFE GLOBAL FUNDI 5/29 | XS2346225878 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004680936 |
ERSTE GROUP BANK AG 0.875% 2026-05-22 | XS2000538343 | Österreich | EUR | Bond | - | - | unknown | 0.0004680487 |
VAR ELECTRICITE DE FRANCE 12/49 | FR0013464922 | Frankreich | EUR | Bond | - | - | unknown | 0.0004679851 |
ERSTE GROUP BANK AG 9/31 | AT0000A2J645 | Österreich | EUR | Bond | - | - | unknown | 0.0004678904 |
TELEPERFORMANCE 04/24 AM888653 | FR0013248465 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0004678862 |
EP INFRASTRUCTURE AS 1.659% 2024-04-26 | XS1811024543 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0004678703 |
NE PROPERTY BV COMPANY GUAR REGS 10/26 1.875 10/26 ZR9252704 | XS2063535970 | Niederlande | EUR | Bond | - | - | unknown | 0.0004678235 |
1.64% ZIMMER BIOMET HLDG. 11/27 | XS2079105891 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000467392 |
ABERTIS INFRAESTRUCTURAS SA 28 1.25 2/28 | XS2113911387 | Spanien | EUR | Bond | - | - | unknown | 0.0004673508 |
BERTELSMANN AG 04/23 EUR38311 | XS1222591023 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004668534 |
BELFIUS BANK SA 10/24 AP655234 | BE6299156735 | Belgien | EUR | Bond | - | - | unknown | 0.000466658 |
WPC EUROBOND BV 04/28 1.35 4/28 | XS2052968596 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004666349 |
GLOBAL SWITCH HOLDINGS LTD 01/24 AN738424 | XS1623615546 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0004665729 |
MEDIOBANCA BANCA DI CREDITO FI 07/25 ACI1D6096 | XS2027957815 | Italien | EUR | Bond | - | - | unknown | 0.0004665661 |
NORSK HYDRO ASA 1.125% 2025-04-11 | XS1974922442 | Norwegen | EUR | Bond | - | - | unknown | 0.0004665395 |
SINGAPORE 6/29 | XS2013539635 | Australien | EUR | Bond | - | - | unknown | 0.0004664835 |
VALEO SA 06/25 AT044644 | FR0013342334 | Frankreich | EUR | Bond | - | - | unknown | 0.0004661138 |
COMMERZBANK AG 1.125% 2026-06-22 | DE000CZ40N46 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0004659556 |
SERVIZI ASSICURATIVI DEL CO 02/25 EUR36529 | XS1182150950 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0004659009 |
BUZZI UNICEM SPA 4/23 | XS1401125346 | Italien | EUR | Bond | Ba1 | - | unknown | 0.0004658898 |
COCA-COLA ENTERPRISES PLC 03/30 EUR37433 | XS1206411230 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0004658225 |
CREDIT LOGEMENT SA 11/24 AP999203 | FR0013299468 | Frankreich | EUR | Bond | - | - | unknown | 0.0004655584 |
TELE2 AB 05/24 AV193367 | XS1907150350 | Schweden | EUR | Bond | - | - | unknown | 0.0004654703 |
ALTAREA SCA 01/28 ACI1G44P8 | FR0013453974 | Frankreich | EUR | Bond | - | - | unknown | 0.0004652985 |
LEG IMMOBILIEN AG 01/24 EUR54662 | XS1554456613 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004651418 |
BANKIA SA | ES0213307061 | Spanien | EUR | Bond | - | - | unknown | 0.0004650133 |
BLACKSTONE PROPERTY PARTNERS E 3/29 | XS2051670300 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004649053 |
1% JT INTL. SERVICES 11/29 | XS2082472122 | Japan | EUR | Bond | - | - | unknown | 0.000464868 |
DIGITAL EURO FINCO | XS2063495811 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004644913 |
BANKIA SA 1.000% 2024-06-25 | ES0313307219 | Spanien | EUR | Bond | - | - | unknown | 0.0004644435 |
MITSUBISHI UFJ FIN GRP SR UNSECURED REGS 07/29 0.848 07/29 ACI1DBD42 | XS2028900087 | Japan | EUR | Bond | - | - | unknown | 0.0004643404 |
ABERTIS INFRAESTRUCTURAS SA 02/27 EUR53601 | ES0211845310 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0004642971 |
ORANGE SA JR SUBORDINA REGS VAR 3/27 | FR0013447877 | Frankreich | EUR | Bond | - | - | unknown | 0.0004642763 |
COENTREPRISE DE TRANSPORT D 09/24 AN878441 | FR0013264405 | Frankreich | EUR | Bond | - | - | unknown | 0.0004641229 |
IMMOFINANZ AG 01/23 AW594486 | XS1935128956 | Österreich | EUR | Bond | - | - | unknown | 0.0004641169 |
1.375% BRIGHT FOOD 06/24 | XS2006909407 | China | EUR | Bond | - | - | unknown | 0.0004640243 |
BNP PARIBAS CARDIF SA 11/24 AQ144357 | FR0013299641 | Frankreich | EUR | Bond | - | - | unknown | 0.0004639295 |
ARGENTA SPAARBANK | BE6318702253 | Belgien | EUR | Bond | - | - | unknown | 0.0004637191 |
ARGENTA BANQUE 10/26 1 10/26 | BE6324664703 | Belgien | EUR | Bond | - | - | unknown | 0.0004636822 |
MERCIALYS SA 03/23 EUR33806 | FR0012332203 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004632833 |
"CEPSA FINANCE SA" 2/25 | XS1996435688 | Spanien | EUR | Bond | - | - | unknown | 0.0004631118 |
DEUTSCHE BOERSE AG SUBORDINATED REGS 06/47 VAR 6/47 | DE000A289N78 | Deutschland | EUR | Bond | - | - | unknown | 0.0004630864 |
EUTELSAT SA 10/28 | FR00140005C6 | Frankreich | EUR | Bond | - | - | unknown | 0.0004629413 |
STANDARD CHARTERED PLC FRN + 0.900% 2027-07-02 | XS2021467753 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004629375 |
AROUNDTOWN PROPERTY HOLDING 01/25 AP838056 | XS1715306012 | Deutschland | EUR | Bond | - | - | unknown | 0.0004628676 |
BRITISH AMERICAN TOBACCO 11/23 AO644260 | XS1664644710 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004627113 |
JAB HOLDINGS BV | DE000A2SBDE0 | Niederlande | EUR | Bond | - | - | unknown | 0.0004625124 |
ENGIE SA FRN + 1.625% PERP | FR0013431244 | Frankreich | EUR | Bond | - | - | unknown | 0.0004622679 |
ZF EUROPE FINANCE BV | XS2010039977 | Deutschland | EUR | Bond | - | - | unknown | 0.0004621443 |
KBC GROUPNV | BE0002681626 | Belgien | EUR | Bond | - | - | unknown | 0.0004618122 |
BABCOCK INTERNATIONAL GROUP PL 9/27 | XS2051664675 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004618033 |
FCE BANK PLC 05/23 EUR52149 | XS1409362784 | Großbritannien (UK) | EUR | Bond | Ba2 | - | unknown | 0.0004617943 |
EASYJET PLC 10/23 EUR53392 | XS1505884723 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004617509 |
EASYJET PLC 02/23 EUR50535 | XS1361115402 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004615612 |
CHEUNG KONG INFRASTRUCTURE 12/24 AQ308231 | XS1733226747 | Hong Kong | EUR | Bond | - | - | unknown | 0.0004608255 |
ROYAL BANK OF SCOTLAN 1.05% 15/11/25 EUR | XS2080205367 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004606744 |
INFORMA PLC 04/28 BJLKVVII0 | XS2068065163 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004605914 |
ABERTIS INFRAESTRUCTURAS | XS2025466413 | Spanien | EUR | Bond | - | - | unknown | 0.0004603443 |
BBG00ZKXFT25 SAFRAN SA SR UNSECURED REGS 03/31 0.75 3/31 | FR0014002G36 | Frankreich | EUR | Bond | - | - | unknown | 0.0004598798 |
RAIFFEISENBANK INTL 3/25 | XS2049823763 | Österreich | EUR | Bond | - | - | unknown | 0.000459862 |
GLENCORE FINANCE EUROPE LTD 9/24 | XS2051397961 | Schweiz | EUR | Bond | - | - | unknown | 0.0004596716 |
PEUGEOT 1.125% SEP29 EMTN 9/29 | FR0013447166 | Niederlande | EUR | Bond | - | - | unknown | 0.0004595939 |
ORANGE SA | FR00140005L7 | Frankreich | EUR | Bond | - | - | unknown | 0.000459348 |
FASTIGHETS AB BALDER 1/27 | XS2050448336 | Schweden | EUR | Bond | - | - | unknown | 0.0004593232 |
ESSELUNGA SPA 10/23 AP492621 | XS1706921951 | Italien | EUR | Bond | - | - | unknown | 0.0004592861 |
VEOLIA ENVIRONNEMENT SA | FR0013476595 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004592179 |
TELIA CO AB SUBORDINATED REGS 05/81 VAR | XS2082429890 | Schweden | EUR | Bond | - | - | unknown | 0.0004591686 |
KUTXABANK SA SR UNSECURED REGS 09/24 0.5 9/24 | ES0343307015 | Spanien | EUR | Bond | - | - | unknown | 0.0004588694 |
BBG00Y47R443 KLEPIERRE SA 2/31 | FR0014000KT3 | Frankreich | EUR | Bond | - | - | unknown | 0.0004583241 |
SANTANDERCONSUMER FINANCE SA | XS2078692105 | Spanien | EUR | Bond | - | - | unknown | 0.0004581939 |
ALDFP 0.375 10/19/23 10/23 | XS2243983520 | Frankreich | EUR | Bond | - | - | unknown | 0.0004581627 |
BBG00Y5Z56K1 HAMBURG COMMERCIAL BNK 0.75 11/23/2023 11/23 | DE000HCB0AY6 | Deutschland | EUR | Bond | - | - | unknown | 0.0004577264 |
BBG00Y70F3S4 AGEAS 11/51 1 11/51 | BE6325355822 | Belgien | EUR | Bond | - | - | unknown | 0.0004576951 |
EASYJET PLC 0.875% 2025-06-11 | XS2009152591 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004576918 |
TEREGA SA 9/30 | FR0013534500 | Frankreich | EUR | Bond | - | - | unknown | 0.0004573985 |
NGG FINANCE PLC | XS2010044977 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004573859 |
CRITERIA CAIXA SA 10/27 | ES0205045026 | Spanien | EUR | Bond | - | - | unknown | 0.000457241 |
0.625% COCA COLA HBC FIN. 11/29 | XS2082345955 | Niederlande | EUR | Bond | - | - | unknown | 0.000457229 |
ROYAL MAIL PLC 07/24 EUR30156 | XS1091654761 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.000457219 |
CITYCON TREASURY BV 10/24 EUR32964 | XS1114434167 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0004571214 |
1% ERSTE GR. 06/30 | XS2083210729 | Österreich | EUR | Bond | - | - | unknown | 0.0004570389 |
SE 9/29 | XS2049769297 | Schweden | EUR | Bond | - | - | unknown | 0.0004569308 |
BANCO DE SABADELL SA | XS2076079594 | Spanien | EUR | Bond | - | - | unknown | 0.000456893 |
SANTANDER CONSUMER BANK AG | XS2063659945 | Deutschland | EUR | Bond | - | - | unknown | 0.0004568655 |
COCA-COLA EUROPEAN PARTNERS 05/28 EUR52285 | XS1415535696 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0004567717 |
BELFIUS BANK SA 9/25 | BE6324012978 | Belgien | EUR | Bond | - | - | unknown | 0.0004567011 |
VONOVIA FINANCE BV COMPANY GUAR REGS 10/27 0.625 10/27 | DE000A2R8ND3 | Deutschland | EUR | Bond | - | - | unknown | 0.0004565523 |
BBG011VK4C42 COVIVIO HOTELS SACA 7/29 | FR0014004QI5 | Frankreich | EUR | Bond | - | - | unknown | 0.0004564978 |
AON CORP 05/26 | XS1062493934 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004562839 |
ENBW JR SUBORDINA REGS 08/79 VAR 08/27 AZ8514509 | XS2035564629 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004561754 |
ENBW JR SUBORDINA REGS 11/79 VAR 11/24 AZ8513931 | XS2035564975 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.000456172 |
LA MONDIALE 4/26 | FR0014000774 | Frankreich | EUR | Bond | - | - | unknown | 0.0004561019 |
CA IMMOBILIEN ANLAGEN AG 27 0.875 2/27 | XS2099128055 | Österreich | EUR | Bond | - | - | unknown | 0.0004560903 |
VALEO SA 01/23 EUR54544 | FR0013230943 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004560792 |
KBC GROEP NV 6/27 | BE0974365976 | Belgien | EUR | Bond | - | - | unknown | 0.0004560383 |
BBG00Y3J7PG0 FERSM 0.54 11/12/28 11/28 | ES0205032040 | Spanien | EUR | Bond | - | - | unknown | 0.000455926 |
NYKREDIT REALKREDIT AS | DK0009525404 | Dänemark | EUR | Bond | - | - | unknown | 0.0004555508 |
BELFIUS BANK SA | BE6317283610 | Belgien | EUR | Bond | - | - | unknown | 0.0004555299 |
SYNGENTA FINANCE NV 09/27 EUR37080 | XS1199954691 | Schweiz | EUR | Bond | Ba2 | - | unknown | 0.0004554785 |
COMMERZBANK AG 09/24 0.25 9/24 | DE000CZ45VB7 | Deutschland | EUR | Bond | - | - | unknown | 0.0004552208 |
OP CORPORATE BANK PLC | XS2078667925 | Finnland | EUR | Bond | - | - | unknown | 0.0004551763 |
SOCIETE GENERALE SR UNSECURED REGS 09/29 0.875 9/29 | FR0013448859 | Frankreich | EUR | Bond | - | - | unknown | 0.0004551343 |
RENAULT SA 1.000% 2024-04-18 | FR0013329315 | Frankreich | EUR | Bond | - | - | unknown | 0.0004550606 |
HOCHTIEF AG | DE000A2YN2U2 | Deutschland | EUR | Bond | - | - | unknown | 0.0004550504 |
FORD MOTOR CREDIT 02/25 AR050363 | XS1767930586 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004546519 |
BBG00YD65FH0 VOLKSWAGEN INTL FIN NV COMPANY GUAR REGS 06/24 0.05 6/24 | XS2270150399 | Niederlande | EUR | Bond | - | - | unknown | 0.0004546483 |
UNITED TECHNOLOGIES CORP 05/30 AS402022 | XS1822302193 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004542304 |
BBG00ZTY4C05 DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/31 0.5 4/31 | DE000A3H25P4 | Deutschland | EUR | Bond | - | - | unknown | 0.0004542224 |
NE PROPERTY BV 3.375% 2027 7/27 | XS2203802462 | Niederlande | EUR | Bond | - | - | unknown | 0.0004541475 |
BBG011F41R19 BAYERISCHELANDESBANK 9/31 | XS2356569736 | Deutschland | EUR | Bond | - | - | unknown | 0.0004541434 |
SANTANDER CONSUMER BANK AS 2/25 | XS2124046918 | Norwegen | EUR | Bond | - | - | unknown | 0.0004538681 |
BBG00ZHGRLZ4 HCOB 0.375 03/09/26 EMTN 3/26 | DE000HCB0AZ3 | Deutschland | EUR | Bond | - | - | unknown | 0.0004534761 |
AAREAL BANK AG SR UNSECURED REGS 04/27 0.5 4/27 | DE000AAR0264 | Deutschland | EUR | Bond | - | - | unknown | 0.0004532021 |
BBG0116XN8F8 MERLIN PROPERTIES SOCIMI 6/30 | XS2347367018 | Spanien | EUR | Bond | - | - | unknown | 0.0004529904 |
HANNOVER RE 10/29 ACI1FY8T1 | XS2063350925 | Deutschland | EUR | Bond | - | - | unknown | 0.0004528345 |
ICADE SANESAS | FR0013457967 | Frankreich | EUR | Bond | - | - | unknown | 0.0004527834 |
BBG0106MTL78 CCEP FINANCE IRELAND DAC 9/29 | XS2337061670 | Irland | EUR | Bond | - | - | unknown | 0.0004525863 |
BBG0118XRT66 MITSUBISHI UFJ FINANCIAL GROUP 6/27 | XS2349788377 | Japan | EUR | Bond | - | - | unknown | 0.0004525082 |
BBG011C6QXD4 RAIFFEISEN BANK INTERNATIONAL 6/33 | XS2353473692 | Österreich | EUR | Bond | - | - | unknown | 0.000452214 |
BBG011F4BN17 COLSM 0.75 06/22/29 EMTN 6/29 | ES0239140025 | Spanien | EUR | Bond | - | - | unknown | 0.0004521588 |
UNIBAIL RODAMCO SE FRN + 2.875% PERP | FR0013330537 | Frankreich | EUR | Bond | - | - | unknown | 0.0004520124 |
BBG0105TP4T2 NYKREDIT REALKREDIT AS SUBORDINATED REGS 07/31 VAR 7/31 | DK0030487996 | Dänemark | EUR | Bond | - | - | unknown | 0.0004518833 |
ARCELORMITTAL 01/24 AW637524 | XS1936308391 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004514586 |
KLEPIERRE SA 0.625% 2030-07-01 | FR0013430741 | Frankreich | EUR | Bond | - | - | unknown | 0.0004510705 |
PTEROSAUR CAPITAL CO LTD COMPANY GUAR REGS 09/24 1 9/24 | XS2050910418 | China | EUR | Bond | - | - | unknown | 0.0004508722 |
BBG011952SD7 ING GROEP NV 6/32 | XS2350756446 | Niederlande | EUR | Bond | - | - | unknown | 0.0004507415 |
BBG00ZXLR6B4 SANTANDER CONSUMER BANK AS 4/26 | XS2331216577 | Norwegen | EUR | Bond | - | - | unknown | 0.0004506448 |
BBG00Z165C32 DEUTSCHE PFANDBRIEFBANK AG 2/26 | DE000A3H2ZX9 | Deutschland | EUR | Bond | - | - | unknown | 0.0004503015 |
BBG00YC4BDS2 COFINIMMO SA 12/30 | BE6325493268 | Belgien | EUR | Bond | - | - | unknown | 0.0004501968 |
BBG00ZNQB9G0 VONOVIA SE 3/31 | DE000A3E5FR9 | Deutschland | EUR | Bond | - | - | unknown | 0.0004499266 |
BBG00ZSJDG19 TIKEHAU CAPITAL 03/29 1.625 3/29 | FR0014002PC4 | Frankreich | EUR | Bond | - | - | unknown | 0.0004498182 |
FRLBP V0.875 01/26/31 1/31 | FR00140009W6 | Frankreich | EUR | Bond | - | - | unknown | 0.000449675 |
BBG011MLK4J4 REPSOL EUROPE FINANCE 7/29 | XS2361358299 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004494376 |
BBG011K2PYF1 LEG IMMOBILIEN S 6/31 | DE000A3E5VK1 | Deutschland | EUR | Bond | - | - | unknown | 0.000449183 |
BBG0116XXJK7 LANDESBANK HESSEN THUERING 29 0.375 6/29 | XS2346124410 | Deutschland | EUR | Bond | - | - | unknown | 0.0004491246 |
BBG0113FTGF6 SBB TREASURY OYJ 11/29 | XS2346224806 | Finnland | EUR | Bond | - | - | unknown | 0.0004479135 |
BBG00Z4GKR82 BAYERISCHE LANDESBANK SR UNSECURED REGS 02/28 0.125 2/28 | DE000BLB6JJ0 | Deutschland | EUR | Bond | - | - | unknown | 0.0004478109 |
INTL FLAVORS & FRAGRANCE 03/24 EUR51645 | XS1319817323 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004476431 |
VONOVIA FINANCE BV 9/29 | DE000A2R7JD3 | Deutschland | EUR | Bond | - | - | unknown | 0.000446762 |
FRESENIUS SE & CO KGAA 02/25 AW506584 | XS1936208252 | Deutschland | EUR | Bond | - | - | unknown | 0.0004461527 |
BBG011PQPKZ1 JAB HOLDINGS BV 7/31 | DE000A3KPTG6 | Niederlande | EUR | Bond | - | - | unknown | 0.0004457531 |
BBG010J1SP81 ORANGE SA JR SUBORDINA REGS 12/99 VAR | FR0014003B55 | Frankreich | EUR | Bond | - | - | unknown | 0.0004456666 |
BBG011MCVVD8 CAISSE NAT REASS SUBORDINATED REGS 07/28 0.75 7/28 | FR0014004EF7 | Frankreich | EUR | Bond | - | - | unknown | 0.0004454127 |
MIZUHO FINANCIAL GROUP INC 9/29 | XS2049630028 | Japan | EUR | Bond | - | - | unknown | 0.0004448377 |
SPAIN 2/28 | XS2117485677 | Spanien | EUR | Bond | - | - | unknown | 0.0004448012 |
ERG SPA 1.875% 2025-04-11 | XS1981060624 | Italien | EUR | Bond | - | - | unknown | 0.0004447447 |
BBG00YD48QB4 CNP ASSURANCES 03/28 0.375 3/28 | FR0014000XY6 | Frankreich | EUR | Bond | - | - | unknown | 0.0004419995 |
ROLLS-ROYCE PLC 05/28 AS345930 | XS1819574929 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004414747 |
AKELIUS RESIDENTIAL PROPERT 03/24 AP909109 | XS1717433541 | Schweden | EUR | Bond | - | - | unknown | 0.0004414592 |
COCA-COLA EUROPEAN PARTNERS PLC 1.125% 2029-04-12 | XS1981054221 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000440476 |
VESTEDA FINANCE BV 07/26 AT262027 | XS1854166078 | Niederlande | EUR | Bond | - | - | unknown | 0.0004399954 |
BBG00Z0D3DC8 ACEA SPA 30 0.25 7/30 | XS2292487076 | Italien | EUR | Bond | - | - | unknown | 0.0004393615 |
DIGITAL DUTCH FINCO BV | XS2100663579 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004383142 |
BBG00YV02533 AROUNDTOWN SA | XS2287744721 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004380632 |
BBG00YVJLXW8 WIZZ AIR FINANCE COMPANY COMPANY GUAR REGS 01/24 1.35 1/24 | XS2288097483 | Niederlande | EUR | Bond | - | - | unknown | 0.0004380406 |
BBG00Z0D27X9 GROUPE BRUXELLES LAMBERT SA 1/31 | BE0002767482 | Belgien | EUR | Bond | - | - | unknown | 0.0004379739 |
2I RETE GAS SPA 09/25 AU366950 | XS1877937851 | Italien | EUR | Bond | - | - | unknown | 0.0004376038 |
OMNICOM FINANCE HOLDINGS PLC 1.400% 2031-07-08 | XS2019815062 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004372766 |
BBG00YV036L0 LOGICOR FINANCING SARL 1/31 | XS2286012849 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004363339 |
ATHENE GLOBAL FUNDING 09/25 1.125 9/25 | XS2225890537 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004358814 |
VIRGIN MONEY UK PLC 6/25 | XS2126084750 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004358484 |
TRANSURBAN FINANCE CMPNY 08/25 EUR38842 | XS1239502328 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0004357778 |
1.375% COVESTRO AG 6/30 | XS2188805845 | Deutschland | EUR | Bond | - | - | unknown | 0.0004348492 |
SSE PLC SUBORDINATED REGS 12/99 VAR | XS2195190520 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004348071 |
EADS NV 10/29 EUR33434 | XS1128224703 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0004337266 |
MONDI FINANCE PLC 1.625% 2026-04-27 | XS1813593313 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004325471 |
BRAMBLES FINANCE LTD 06/24 | XS1028952312 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0004320462 |
THERMO FISHER SCIENTIFIC 09/28 EUR53053 | XS1405775534 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004315296 |
MEDIOBANCADI CRED FIN 9/27 | XS2227196404 | Italien | EUR | Bond | - | - | unknown | 0.0004310801 |
YORKSHIREBUILDING SOC 9/25 | XS2231267829 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004305866 |
LYB INTERNATIONAL FINANC COMPANY GUAR 09/26 0.875 9/26 | XS2052310054 | Niederlande | EUR | Bond | - | - | unknown | 0.0004303815 |
WOLTERS KLUWER NV 7/30 | XS2198580271 | Niederlande | EUR | Bond | - | - | unknown | 0.0004303238 |
CGNPC INTERNATIONAL LTD 09/25 AU213394 | XS1867412006 | China | EUR | Bond | - | - | unknown | 0.0004302628 |
BBG00YC48RJ5 STORA ENSO OYJ 12/30 | XS2265360359 | Finnland | EUR | Bond | - | - | unknown | 0.0004294752 |
BEVCO LUX SARL 9/27 | XS2231165668 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004292244 |
LEASEPLANCORPORATION NV 4/25 | XS2155365641 | Niederlande | EUR | Bond | - | - | unknown | 0.0004291579 |
EUSTREAM AS SR UNSECURED REGS 06/27 1.625 6/27 | XS2190979489 | Slowakei -slowakische Republik- | EUR | Bond | - | - | unknown | 0.0004285521 |
BBG00Z81YPQ0 CTP BV SR UNSECURED REGS 02/27 0.75 2/27 | XS2303052695 | Niederlande | EUR | Bond | - | - | unknown | 0.0004282867 |
BBG00YDCVS80 POSTE ITALIANE SPA SR UNSECURED REGS 12/28 0.5 12/28 | XS2270397016 | Italien | EUR | Bond | - | - | unknown | 0.0004282048 |
CZECK REP 5/26 | XS1991190361 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.000427075 |
RENAULT 1.40% 04/10/27 EUR 10/27 | FR0013451416 | Frankreich | EUR | Bond | - | - | unknown | 0.0004253221 |
LOGICOR FINANCING SARL 7/26 | XS2200175839 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004252002 |
FRESENIUS SE & CO KGAA 9/26 | XS2237434472 | Deutschland | EUR | Bond | - | - | unknown | 0.0004246778 |
DELL BANK INTERNATIONAL SR UNSECURED REGS 06/24 1.625 6/24 | XS2193734733 | Irland | EUR | Bond | - | - | unknown | 0.0004243281 |
AMCOR UK FINANCE PLC 6/27 | XS2193669657 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004239304 |
FEDEX CORP | XS2034629134 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004235815 |
CGNPC INTERNATIONAL LTD 12/24 AQ162754 | XS1725553066 | China | EUR | Bond | - | - | unknown | 0.0004224512 |
ACEA SPA 10/26 EUR53490 | XS1508912646 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0004222057 |
CK HUTCHISON EUROPE FINANCE (18) LTD 2.000% 2030-04-13 | XS1806130305 | Hong Kong | EUR | Bond | - | - | unknown | 0.0004219978 |
E.ON SE 8/31 | XS2177580508 | Deutschland | EUR | Bond | - | - | unknown | 0.000421905 |
MEINL EUROPEAN LAND LTD 09/25 AU292804 | XS1829325239 | Niederlande | EUR | Bond | - | - | unknown | 0.0004215882 |
NATIONAL GRID PLC 9/29 | XS2231259305 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.00042136 |
BBG00Z0WFBJ0 2I RETE GAS SPA 1/31 | XS2292547317 | Italien | EUR | Bond | - | - | unknown | 0.0004212036 |
INTERNATIONAL AIRLINES GROUP ISSUED INTERNATIONAL BONDS 1.5% EUR 2027 07/27 AZ3969369 | XS2020581752 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004200193 |
BBG00Z5YVLV7 ITALGAS SPA 2/28 | XS2299001888 | Italien | EUR | Bond | - | - | unknown | 0.0004196676 |
BBG00Z3T4X44 TYCO ELECTRONICS GROUP SA 2/29 | XS2297190097 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004182699 |
SIKA CAPITAL BV 1.500% 2031-04-29 | XS1986416698 | Niederlande | EUR | Bond | - | - | unknown | 0.0004178395 |
SUMITOMO MITSUI FINL GRP 10/27 | XS2234579675 | Japan | EUR | Bond | - | - | unknown | 0.0004172972 |
BBG0115JF9M9 WABTEC TRANSPORTATION COMPANY GUAR 12/27 1.25 12/27 | XS2345035963 | Niederlande | EUR | Bond | - | - | unknown | 0.0004172707 |
BBG00YC45SF0 MACQUARIE GROUP LTD 3/28 | XS2265371042 | Australien | EUR | Bond | - | - | unknown | 0.0004143514 |
BBG0116QL4J0 WORLEY USFINANCE SUB 6/26 | XS2351032227 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004110662 |
BBG010RS63G7 EMIRATES TELECOM GROUP 5/28 | XS2339427747 | Vereinigte Arabische Emirate | EUR | Bond | - | - | unknown | 0.0004104826 |
BBG0118SV3Q7 SPP DISTRIBUCIA AS 06/31 1 6/31 | XS2348408514 | Slowakei -slowakische Republik- | EUR | Bond | - | - | unknown | 0.000410429 |
AKELIUS RESIDENTIAL PROP 1/28 | XS2228897158 | Niederlande | EUR | Bond | - | - | unknown | 0.0004098282 |
IREN SPA 10/27 AP513321 | XS1704789590 | Italien | EUR | Bond | - | - | unknown | 0.0004085397 |
SNAM SPA | XS2358231798 | Italien | EUR | Bond | - | - | unknown | 0.0004081854 |
BBG011974XG7 DANSKE BANK A/S 6/29 | XS2351220814 | Dänemark | EUR | Bond | - | - | unknown | 0.0004071616 |
BBG012248X84 BECTON DICKINSON AND CO 8/25 | XS2375836553 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004070394 |
DANSKE BANK A/S 9/30 | XS2225893630 | Dänemark | EUR | Bond | - | - | unknown | 0.0004066917 |
BBG0118Y2QW8 ACEF HOLDING SCA COMPANY GUAR REGS 06/28 0.75 6/28 | XS2351301499 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004055442 |
BBG011CFSD55 OP CORPORATE BANK PLC 6/28 | XS2354246816 | Finnland | EUR | Bond | - | - | unknown | 0.000405161 |
BBG00Y5Z4CQ3 NYKREDIT REALKREDIT AS 1/26 | DK0030467105 | Dänemark | EUR | Bond | - | - | unknown | 0.0004051215 |
JT INTL FIN SERVICES BV COMPANY GUAR REGS 04/81 VAR | XS2238783422 | Niederlande | EUR | Bond | - | - | unknown | 0.0004036739 |
BBG00YZ24GG5 SAGAX EURO MTN NL BV 1/28 | XS2291340433 | Niederlande | EUR | Bond | - | - | unknown | 0.0004031757 |
ERG SPA 9/27 | XS2229434852 | Italien | EUR | Bond | - | - | unknown | 0.0004002832 |
0.625 A2A 31 EMTN-S | XS2364001078 | Italien | EUR | Bond | - | - | unknown | 0.0004002705 |
BBG00Z8WZ932 H&M FINANCE BV 8/29 | XS2303070911 | Niederlande | EUR | Bond | - | - | unknown | 0.0003996186 |
BBG00Y5Z9814 CROMWELL EREIT LUX FINCO SARL 11/25 | XS2258986269 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003986427 |
PHOENIX GROUP HOLDINGS 01/29 AU589372 | XS1881005117 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003960436 |
ASSICURAZIONI GENERALI SPA 01/29 AW823089 | XS1941841311 | Italien | EUR | Bond | - | - | unknown | 0.0003955658 |
E.ON SE | XS2103014457 | Deutschland | EUR | Bond | - | - | unknown | 0.000395381 |
STATKRAFT AS 03/30 EUR37500 | XS1207005023 | Norwegen | EUR | Bond | Baa1 | - | unknown | 0.0003948671 |
1.75% ORSTED 12/49 | XS2010036874 | Dänemark | EUR | Bond | - | - | unknown | 0.0003929536 |
BBG01135MTX7 CIMIC FINANCE LTD 05/29 1.5 5/29 | XS2346973741 | Australien | EUR | Bond | - | - | unknown | 0.000390258 |
BBG00ZRZSVM2 STEDIN HOLDING NV | XS2314246526 | Niederlande | EUR | Bond | - | - | unknown | 0.0003892124 |
BBG0115J55D8 SELP FINANCE SARL 5/29 | XS2344569038 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003860169 |
BBG00ZVJNS45 HEATHROW FUNDING LTD 10/30 | XS2328823104 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003859903 |
BBG00ZNGWJ95 OP CORPORATE BANK PLC 3/26 | XS2320747285 | Finnland | EUR | Bond | - | - | unknown | 0.0003854068 |
BBG00ZN61PC3 NORDEA BANK ABP 3/31 | XS2321526480 | Finnland | EUR | Bond | - | - | unknown | 0.0003847242 |
BBG0110Q2RB4 MACQUARIEGROUP LTD 5/31 | XS2343850033 | Australien | EUR | Bond | - | - | unknown | 0.0003844053 |
BBG00ZF99BM8 EQUINIX INC SR UNSECURED 03/27 0.25 3/27 | XS2304340263 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003830642 |
BBG010Z1CKK7 CYRUSONE EUROPE FINANCE 5/28 | XS2342250227 | Irland | EUR | Bond | - | - | unknown | 0.0003826521 |
AUSNET SERVICES HOLDINGS 8/30 | XS2118213888 | Australien | EUR | Bond | - | - | unknown | 0.0003826461 |
BBG010RS38Y9 EQT AB 5/31 | XS2338570331 | Schweden | EUR | Bond | - | - | unknown | 0.0003814618 |
UPM KYMMENE OYJ | XS2320453884 | Finnland | EUR | Bond | - | - | unknown | 0.0003792521 |
TERNA SPA SR UNSECURED REGS 09/30 0.375 9/30 | XS2237901355 | Italien | EUR | Bond | - | - | unknown | 0.0003791603 |
BBG00YVDZSJ2 HEMSO TREASURY OYJ COMPANY GUAR REGS 01/28 0.0000 1/28 | XS2281473111 | Finnland | EUR | Bond | - | - | unknown | 0.0003758998 |
ACQUIRENTE UNICO SPA 02/26 AX048246 | XS1953929608 | Italien | EUR | Bond | - | - | unknown | 0.0003721021 |
MTU AERO ENGINES AG 7/25 | XS2197673747 | Deutschland | EUR | Bond | - | - | unknown | 0.0003706329 |
H LUNDBECK A/S SR UNSECURED REGS 10/27 0.875 10/27 | XS2243299463 | Dänemark | EUR | Bond | - | - | unknown | 0.0003690754 |
COMMERZBANK AG 08/28 AU145629 | DE000CZ40M39 | Deutschland | EUR | Bond | - | - | unknown | 0.0003658977 |
SOCIETA INIZ AUTOSTRADAL 02/24 | XS1032529205 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0003654876 |
AKELIUS RESIDENTIAL PROP 29 1.125 1/29 | XS2251233651 | Niederlande | EUR | Bond | - | - | unknown | 0.0003638921 |
KOJAMO OYJ 5/27 | XS2179959817 | Finnland | EUR | Bond | - | - | unknown | 0.0003627492 |
CNH INDUSTRIAL FINANCE EURO 03/27 AX776186 | XS1969600748 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003614883 |
SCENTRE GROUP TRUST 1/2 03/29 AX751744 | XS1968706520 | Australien | EUR | Bond | - | - | unknown | 0.0003605265 |
BBG00ZLG9PY1 KONINKLIJKE AHOLD DELHAIZE NV 3/30 | XS2317288301 | Niederlande | EUR | Bond | - | - | unknown | 0.0003604566 |
BBG00YVF1TH4 EXOR NV 1/31 | XS2283188683 | Niederlande | EUR | Bond | - | - | unknown | 0.0003582377 |
ARCELORMITTAL | XS2082324018 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003570981 |
INTERCONTINENTAL HOTELS GROUP 10/24 | XS2240494471 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003529835 |
AUTOSTRADE PER L'ITALIA SPA 02/27 EUR53724 | XS1528093799 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0003528309 |
ITV PCL 09/26 1.375 9/26 | XS2050543839 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003520589 |
ISS FINANCE B.V. COMPANY GUAR REGS 07/25 1.25 7/25 | XS2199343513 | Dänemark | EUR | Bond | - | - | unknown | 0.0003517545 |
KRAFT HEINZ FOODS CO 05/24 EUR52210 | XS1405782407 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.000350747 |
BBG00YCG5ZL0 HERA SPA 30 0.25 12/30 | XS2265990452 | Italien | EUR | Bond | - | - | unknown | 0.0003492679 |
BRITISH AMERICAN TOBACCO 03/25 | XS0909359332 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003485061 |
AROUNDTOWN SA | XS2027946610 | Deutschland | EUR | Bond | - | - | unknown | 0.0003480278 |
VICINITY CENTRES | XS2071382662 | Australien | EUR | Bond | - | - | unknown | 0.000347334 |
DOVER CORPORATION | XS2010038730 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003469183 |
SAMHALLSBYGGNADSBOLAGET | XS2049823680 | Schweden | EUR | Bond | - | - | unknown | 0.0003465411 |
IREN SPA 7/30 | XS2197356186 | Italien | EUR | Bond | - | - | unknown | 0.0003459572 |
CARLSBERG BREWERIES A/S SR UNSECURED REGS 03/30 0.625 3/30 | XS2133071774 | Dänemark | EUR | Bond | - | - | unknown | 0.0003438369 |
HELLA GMBH + CO KGAA | XS2047479469 | Deutschland | EUR | Bond | - | - | unknown | 0.0003419503 |
BBG0100PWW06 ASAHI GROUPS HOLDING LTD 4/27 | XS2328981431 | Japan | EUR | Bond | - | - | unknown | 0.0003405524 |
BBG00ZS9BT06 CZECH GAS NETWORKS INV SR UNSECURED REGS 03/31 0.875 3/31 | XS2322438990 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003405411 |
BBG0113FYMR4 TELEFONAKTIEBOLAGET LM E SR UNSECURED REGS 05/29 1 5/29 | XS2345996743 | Schweden | EUR | Bond | - | - | unknown | 0.0003397065 |
ROLLS-ROYCE PLC 05/24 AS423841 | XS1819575066 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003385197 |
NOVOMATIC AG 09/23 EUR53123 | AT0000A1LHT0 | Österreich | EUR | Bond | Baa2 | - | unknown | 0.0003353031 |
BBG00YVS5RP7 NATIONAL GRID PLC 1/28 | XS2289408440 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003346261 |
SELP FINANCE SARL 10/23 EUR53478 | XS1508586150 | Luxemburg | EUR | Bond | Baa2 | - | unknown | 0.0003246978 |
TALENT YIELD EURO LTD COMPANY GUAR REGS 09/25 1 9/25 | XS2181280335 | Virgin Island (Brit.) | EUR | Bond | - | - | unknown | 0.0003194217 |
BBG00YVS6LL3 BALDER FINLAND OYJ 1/29 | XS2288925568 | Finnland | EUR | Bond | - | - | unknown | 0.0003107703 |
ITALY | XS2081611993 | Italien | EUR | Bond | - | - | unknown | 0.0003058614 |
HEIMSTADEN BOSTAD AB SR UNSECURED 01/26 1.125 | XS2105772201 | Schweden | EUR | Bond | - | - | unknown | 0.0003013457 |
INTERMEDIATE CAPITAL GRO 02/27 1.625 2/27 | XS2117435904 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003010161 |
POSCO SR UNSECURED REGS 01/24 0.5 | XS2103230152 | Süd Korea | EUR | Bond | - | - | unknown | 0.0002965271 |
ELENIA FINANCE OYJ SR SECURED REGS 02/27 0.375 2/27 | XS2113885011 | Finnland | EUR | Bond | - | - | unknown | 0.0002952329 |
0.5% ACEA 04/29 | XS2113700921 | Italien | EUR | Bond | - | - | unknown | 0.0002929302 |
XYLEM INC 03/23 EUR51636 | XS1378780891 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002795365 |
BBG011BXGX38 EQH 0.6 06/16/28 EMTN 6/28 | XS2353478063 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002727312 |
GLOBAL SWITCH HOLDINGS LTD 05/27 AN738444 | XS1623616783 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0002711508 |
BBG00YVDZGJ8 HOLCIM FINANCE LUXEMBOURG SA 7/27 | XS2286441964 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002689364 |
FOERENINGSBANKEN AB 09/23 AU478224 | XS1880928459 | Schweden | EUR | Bond | - | - | unknown | 0.0002556584 |
AURIZON NETWORK PTY LTD 06/26 EUR52319 | XS1418788599 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0002548043 |
CREDIT MUTUEL ARKEA 06/26 EUR52336 | FR0013173028 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002545419 |
DANICA PENSION 09/25 EUR42068 | XS1117286580 | Dänemark | EUR | Bond | Baa1 | - | unknown | 0.0002542078 |
ASR NEDERLAND NV 09/24 EUR33030 | XS1115800655 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0002521814 |
VONOVIA FINANCE BV 2.125% 2030-03-22 | DE000A19X8B2 | Deutschland | EUR | Bond | - | - | unknown | 0.0002511274 |
WHIRLPOOLEMEA FINANCE SARL 2/28 | XS2115092954 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002492717 |
KINDER MORGAN INC/DE 03/27 EUR37285 | XS1196817586 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0002491914 |
TELE2 AB 05/28 AV193368 | XS1907150780 | Schweden | EUR | Bond | - | - | unknown | 0.0002484105 |
WPC EUROBOND BV 04/27 AR505880 | XS1785458172 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002442043 |
MIZUHO FINANCIAL GROUP INC 1.598% 2028-04-10 | XS1801905628 | Japan | EUR | Bond | - | - | unknown | 0.0002440866 |
ELECTRICIDADE DE PORTUGAL 11/27 AQ025980 | XS1721051495 | Portugal | EUR | Bond | - | - | unknown | 0.0002426226 |
MOHAWK CAPITAL FINANC 2.32% 12/06/27 EUR 6/27 | XS2177443343 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002422036 |
PERKINELMER INC 07/26 EUR52739 | XS1405780617 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0002421914 |
MCKESSON CORP 10/26 AR171252 | XS1771723167 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002417151 |
MYLAN INC 05/25 AS686462 | XS1801129286 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0002409598 |
DEUTSCHE ANNINGTON FINANCE 01/28 AQ658939 | DE000A19UR79 | Deutschland | EUR | Bond | - | - | unknown | 0.0002404532 |
EP INFRASTRUCTURE AS | XS2062490649 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0002392041 |
JCDECAUX SA 10/24 | FR0013509627 | Frankreich | EUR | Bond | - | - | unknown | 0.0002387662 |
CREDIT MUTUEL ARKEA SA 1.125% 2029-05-23 | FR0013421369 | Frankreich | EUR | Bond | - | - | unknown | 0.0002387022 |
KION GROUP AG 9/25 | XS2232027727 | Deutschland | EUR | Bond | - | - | unknown | 0.0002381931 |
MERLIN PROPERTIES SOCIMI SA 05/25 AN647021 | XS1619643015 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0002380423 |
BERLIN HANNOVER HYPOBANK AG 10/27 AP366668 | DE000BHY0GS9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002371972 |
FASTIGHETS AB BALDER 03/25 AM630660 | XS1576819079 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0002371035 |
CARMILA SAS 09/23 EUR41872 | FR0012967461 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002363182 |
ISS GLOBAL A/S 08/27 AO853371 | XS1673102734 | Dänemark | EUR | Bond | - | - | unknown | 0.0002356493 |
FISERV INC 1.125% 2027-07-01 | XS1843434280 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002356401 |
CREDIT MUTUEL ARKEA 10/24 AP636677 | FR0013291556 | Frankreich | EUR | Bond | - | - | unknown | 0.0002352963 |
BLACKSTONE PP EUR HOLD 02/24 AX142437 | XS1951927315 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002351608 |
KOJAMO OYJ 06/24 AN791280 | XS1628004779 | Finnland | EUR | Bond | Baa2 | - | unknown | 0.0002343003 |
NE PROPERTY COOPERATIEF UA 11/24 AP869434 | XS1722898431 | Niederlande | EUR | Bond | - | - | unknown | 0.0002338754 |
COMMERZBANK AG 09/25 AP115334 | DE000CZ40MC5 | Deutschland | EUR | Bond | - | - | unknown | 0.000233662 |
MERCK KGAA FRN + 1.625% 2079-06-25 | XS2011260531 | Deutschland | EUR | Bond | - | - | unknown | 0.0002332531 |
ENERGIE BADEN VAR JUN80 | XS2196328608 | Deutschland | EUR | Bond | - | - | unknown | 0.0002326809 |
OTE PLC | XS2055106137 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002325952 |
THREE GORGES FINANCE II CAY 06/24 AN479269 | XS1577956789 | China | EUR | Bond | - | - | unknown | 0.0002325878 |
NATIONALE INVESTERINGSBANK 07/25 AZ4219467 | XS2023631489 | Niederlande | EUR | Bond | - | - | unknown | 0.0002325101 |
COMMERZBANK AG 3/26 | DE000CB0HRQ9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002307267 |
SUEZ JR SUBORDINA REGS 12/99 VAR 6/26 | FR0013445335 | Frankreich | EUR | Bond | - | - | unknown | 0.0002294868 |
ZF EUROPE FINANCE BV | XS2010040124 | Niederlande | EUR | Bond | - | - | unknown | 0.0002292562 |
BBG00ZMWXFS7 VOLKSBANK WIEN AG SR UNSECURED REGS 03/26 0.875 3/26 | AT000B122080 | Österreich | EUR | Bond | - | - | unknown | 0.0002291071 |
CNAC HK FINBRIDGE CO LTD 24 1.125 9/24 | XS2226795321 | Hong Kong | EUR | Bond | - | - | unknown | 0.0002280047 |
BBG00ZHXYM78 MUENCHENERHYPOTHEKEMBNK 3/29 | DE000MHB64E1 | Deutschland | EUR | Bond | - | - | unknown | 0.0002256667 |
BBG0116XK5L0 KBC GROUP NV 5/31 | BE0002799808 | Belgien | EUR | Bond | - | - | unknown | 0.0002256593 |
BBG01173XGM6 BELFIUS BANK SA 6/27 | BE6328785207 | Belgien | EUR | Bond | - | - | unknown | 0.0002253336 |
BAWAG P.S.K. | XS2049584084 | Österreich | EUR | Bond | - | - | unknown | 0.0002248188 |
BBG010FXV6V7 LANDESBANK BADEN-WUERTTEMBERG 5/29 | DE000LB2V5T1 | Deutschland | EUR | Bond | - | - | unknown | 0.0002243547 |
BBG00ZF977M9 DE VOLKSBANK NV 03/28 0.375 3/28 | XS2308298962 | Niederlande | EUR | Bond | - | - | unknown | 0.0002236587 |
INTL CONSOLIDATED AIRLIN SR UNSECURED REGS 07/23 0.5 07/23 AZ3969351 | XS2020580945 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002215143 |
BBG00YYX8B11 ERSTE GROUP BANK AG 1/31 | AT0000A2N837 | Österreich | EUR | Bond | - | - | unknown | 0.0002210646 |
BBG00YTZZ6Y7 ICADE 1/31 | FR0014001IM0 | Frankreich | EUR | Bond | - | - | unknown | 0.0002194673 |
DEUTSCHE LUFTHANSA AG 0.25% 06/09/2024 9/24 | XS2049726990 | Deutschland | EUR | Bond | - | - | unknown | 0.0001325354 |
US DOLLAR | _CURRENCYUSD | Vereinigte Staaten von Amerika | USD | Cash | - | - | unknown | 1.2394e-06 |