Below, a list of constituents for LU0484968812 (ESG EUR Corporate Bond UCITS ETF 1D) is shown. In total, LU0484968812 consists of 2375 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 |
EURO CURRENCY | _CURRENCYEUR | - | EUR | Cash | - | - | unknown | 0.0022868876 |
RABOBANK 07/25 | XS0525602339 | Niederlande | EUR | Bond | Aa2 | - | unknown | 0.0015635277 |
FRANCE TELECOM 01/33 | FR0000471930 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0014611827 |
DEUTSCHE BANK AG | DE000DL19U23 | Deutschland | EUR | Bond | - | - | unknown | 0.0013913237 |
GOLDMAN SACHS GROUP INC 3/25 | XS2149207354 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0012067202 |
AXA SA FRN + 3.250% 2049-05-28 | XS1799611642 | Frankreich | EUR | Bond | - | - | Financial | 0.0012022421 |
MICROSOFT CORP 12/28 | XS1001749289 | Vereinigte Staaten von Amerika | EUR | Bond | Aaa | - | unknown | 0.0011982095 |
CREDIT AGRICOLE SA 03/27 EUR37308 | XS1204154410 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0011936693 |
SANOFI SA 1.375% 2030-03-21 | FR0013324357 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0011888216 |
BNP PARIBAS 01/26 AW746868 | FR0013398070 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0011657027 |
BBG00Z6B5H26 DEUTSCHE BANK AG 2/32 | DE000DL19VU0 | Deutschland | EUR | Bond | - | - | unknown | 0.0011557284 |
MORGAN STANLEY DEAN WITTER 04/27 AN318761 | XS1603892149 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0011414061 |
BARCLAYS PLC SR UNSECURED REGS 04/25 VAR 4/25 | XS2150054026 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0011413198 |
GOLDMAN SACHS GROUP INC 05/24 AN549815 | XS1614198262 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0011133749 |
J.P. MORGAN & CO INC 05/27 AN575183 | XS1615079974 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0011027286 |
J.P. MORGAN & CO INC 03/26 AX452259 | XS1960248919 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.001089193 |
TAKEDA PHARMACEUTICAL CO LT 11/30 AV647131 | XS1843449395 | Japan | EUR | Bond | Baa2 | - | unknown | 0.0010805369 |
NOVARTIS FINANCE SA 9/28 | XS2235996217 | Luxemburg | EUR | Bond | - | - | unknown | 0.0010781186 |
HSBC HOLDING PLC 09/24 EUR52988 | XS1485597329 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0010674983 |
UBS AG LONDON 4/23 | XS2149270477 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0010616259 |
J.P. MORGAN & CO INC 01/24 EUR52780 | XS1456422135 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Financial | 0.0010567699 |
DNB BANK ASA | XS2079723552 | Norwegen | EUR | Bond | - | - | Financial | 0.0010532091 |
CREDIT SUISSE GROUP AG SR UNSECURED REGS 04/26 VAR 4/25 | CH0537261858 | Schweiz | EUR | Bond | - | - | unknown | 0.0010458428 |
VERIZON COMMUNICATIONS INC 01/38 92343VEE | XS1708335978 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0010417754 |
5.125% ASSICURAZIONI GENERALI 9/24 | XS0452314536 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0010373512 |
BBG010FN7691 GOLDMAN SACHS GROUP INC/THE 4/24 | XS2338355105 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0010320282 |
JOHNSON & JOHNSON 05/35 EUR52207 | XS1412266907 | Vereinigte Staaten von Amerika | EUR | Bond | Aaa | - | Consumer, Non-cyclical | 0.0010320239 |
DH EUROPE FINANCE 9/31 | XS2050406094 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.001030562 |
RABOBANK 03/26 EUR51705 | XS1382784509 | Niederlande | EUR | Bond | Aa2 | - | unknown | 0.0010304861 |
CITIGROUP INC 10/23 EUR53492 | XS1457608013 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0010234805 |
TAKEDA PHARMACEUTICAL CO LT 11/26 AV647023 | XS1843449122 | Japan | EUR | Bond | - | - | unknown | 0.0010135656 |
BBG012TCWX53 THERMO FISHER SC FNCE I COMPANY GUAR 10/30 0.8 10/30 | XS2366407018 | Niederlande | EUR | Bond | - | - | unknown | 0.0010013294 |
GOLDMAN SACHS GROUP INC 07/26 EUR52810 | XS1458408561 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0010003243 |
SOCIETE GENERALE | FR0013403441 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0009964133 |
VODAFONE GROUP PLC 08/26 EUR51520 | XS1372839214 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0009801477 |
ESSILORLUXOTTICA | FR0013463650 | Frankreich | EUR | Bond | - | - | unknown | 0.0009756507 |
DANONE (GROUPE) 11/28 EUR53542 | FR0013216926 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0009722613 |
DEUTSCHE TELEKOM AG 04/23 EUR51707 | XS1382792197 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0009674622 |
BBG010GVGRN0 MORGAN STANLEY SR UNSECURED 10/27 VAR 10/27 | XS2338643740 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009566393 |
BNP PARIBAS 09/23 | XS0895249620 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0009547489 |
BMW AG 10/23 AX003581 | XS1948612905 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0009529769 |
SANOFI SA 1.000% 2026-03-21 | FR0013324340 | Frankreich | EUR | Bond | - | - | unknown | 0.0009471806 |
UNITED STATES 7/26 | XS2167003685 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000945453 |
RABOBANK 02/27 EUR36419 | XS1180130939 | Niederlande | EUR | Bond | Aa2 | - | unknown | 0.0009373835 |
DAIMLERCHRYSLER NORTH AMER 07/29 AO113890 | DE000A2GSCW3 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0009351214 |
COCA-COLA CO 03/35 EUR36992 | XS1197833137 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0009348343 |
UBS GROUP FUNDING SWITZERLAND AG 1.250% 2025-04-17 | CH0409606354 | Schweiz | EUR | Bond | - | - | Financial | 0.0009339473 |
BANQUE FED CRED MUTUEL 06/26 AX917386 | FR0013412947 | Frankreich | EUR | Bond | - | - | unknown | 0.0009306231 |
INTERNATIONAL BUSINESS MACHINE | XS2115091808 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0009233483 |
DEUTSCHE TELEKOM AG 04/28 EUR51708 | XS1382791975 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0009205484 |
SANOFI-AVENTIS 09/26 EUR32701 | FR0012146801 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0009204882 |
SANOFI SA 0.500% 2023-03-21 | FR0013324332 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0009157594 |
ALLIANZ FINANCE BV 10/23 | DE000A1YCQ29 | Deutschland | EUR | Bond | A2 | - | Financial | 0.0009134546 |
J.P. MORGAN & CO INC 01/25 EUR36324 | XS1174469137 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0009129889 |
BBG00YZH3CR0 GOLDMAN SACHS GROUP INC/THE 1/28 | XS2292954893 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0009104187 |
AXA SA 07/27 EUR51801 | XS1346228577 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0009102359 |
BMW AG 02/29 AX003584 | XS1948611840 | Deutschland | EUR | Bond | - | - | unknown | 0.0009100226 |
JPMORGAN CHASE + CO 11/32 1 | XS2075811948 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0009073564 |
MORGAN STANLEY 10/29 | XS2250008245 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008934775 |
MORGAN STANLEY FRN + 0.637% 2024-07-26 | XS1989375503 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008881673 |
BBG00Y47ZV53 DEUTSCHE BANK AG 11/30 | DE000DL19VS4 | Deutschland | EUR | Bond | - | - | unknown | 0.0008859965 |
BBG012V81Q30 THERMO FISHER SC FNCE I COMPANY GUAR 10/33 1.125 10/33 | XS2366415110 | Niederlande | EUR | Bond | - | - | unknown | 0.0008843028 |
LLOYDS BANKING GROUP PLC SR UNSECURED REGS 04/26 VAR 4/26 | XS2148623106 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008832458 |
SANOFI SA 1.875% 2038-03-21 | FR0013324373 | Frankreich | EUR | Bond | - | - | unknown | 0.0008779943 |
BBG00YRF0C32 ING GROEP NV 2/30 | XS2281155254 | Niederlande | EUR | Bond | - | - | unknown | 0.0008762679 |
FRANCE TELECOM 10/26 EUR33025 | XS1115498260 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0008744017 |
RICHEMONT INTERNATIONAL HOLDING SA 1.000% 2026-03-26 | XS1789751531 | Schweiz | EUR | Bond | - | - | unknown | 0.0008734148 |
MORGAN STANLEY | XS2404028230 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008714697 |
GOLDMAN SACHS GROUP INC 11/28 AT743653 | XS1861206636 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008707586 |
DAIMLERCHRYSLER NORTH AMER 11/23 ZQ3764110 | DE000A2R9ZT1 | Deutschland | EUR | Bond | - | - | unknown | 0.0008696692 |
BBG00Z4GQNK1 MORGAN STANLEY 2/31 | XS2292263121 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008694013 |
CREDIT AGRICOLE SA 4/26 | FR0013508512 | Frankreich | EUR | Bond | - | - | unknown | 0.0008690803 |
IBM CORP 01/23 AW898683 | XS1944456018 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0008658471 |
BANK OF AMERICA CORP SR UNSECURED REGS 03/29 VAR 3/29 | XS2148370211 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0008650335 |
BANQUE FED CRED MUTUEL 06/23 AW534950 | FR0013386539 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0008611253 |
ESSILORLUXOTTICA | FR0013463668 | Frankreich | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0008602207 |
DEUTSCHE TELEKOM AG 01/27 EUR54709 | XS1557095616 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0008548035 |
ING BANK 11/30 AV577225 | XS1909186451 | Niederlande | EUR | Bond | - | - | unknown | 0.000851343 |
APPLE INC 11/26 EUR33593 | XS1135337498 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | unknown | 0.0008512379 |
BBG00Z6B5GY3 DEUTSCHE BANK AG 2/27 | DE000DL19VT2 | Deutschland | EUR | Bond | - | - | unknown | 0.0008483262 |
DAIMLERCHRYSLER NORTH AMER 07/37 AO113936 | DE000A2GSCX1 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0008482797 |
CREDIT AGRICOLE SA 12/26 EUR54465 | XS1538284230 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0008461668 |
ALLIANZ FINANCE BV 09/24 EUR32830 | DE000A13R7Z7 | Deutschland | EUR | Bond | A2 | - | Financial | 0.0008446753 |
BBG00ZTG6TB3 UBS AG/LONDON 3/26 | XS2326546434 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008414701 |
BANQUE FED CRED MUTUEL 03/24 | XS1045553812 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0008381363 |
CREDIT SUISSE FIRST BOSTON 07/24 AO297106 | CH0343366842 | Schweiz | EUR | Bond | - | - | unknown | 0.000836876 |
ABN AMRO BANK NV 4/25 | XS1218821756 | Niederlande | EUR | Bond | A1 | - | unknown | 0.0008366158 |
TORONTO-DOMINION BANK 07/23 AT580277 | XS1857683335 | Kanada | EUR | Bond | - | - | unknown | 0.000832128 |
RABOBANK 05/23 | XS0933540527 | Niederlande | EUR | Bond | Aa2 | - | unknown | 0.0008318769 |
TELEFONICA EMISONES SAU 04/26 EUR51877 | XS1394764689 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0008317935 |
CITIGROUP INC 07/25 AT634853 | XS1859010685 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008309413 |
CREDIT SUISSE FIRST BOSTON 04/26 EUR51848 | XS1392459381 | Schweiz | EUR | Bond | A1 | - | unknown | 0.0008268715 |
CREDIT AGRICOLE SA 04/26 EUR51897 | XS1395021089 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0008265575 |
"ABBVIE INC" 5/24 | XS1520899532 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0008261781 |
ING GROEP NV 5/31 | XS2176621170 | Niederlande | EUR | Bond | - | - | unknown | 0.000825694 |
PROCTER & GAMBLE CO 05/27 | XS0300113254 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0008230569 |
JPMORGAN CHASE + CO | XS2033262622 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0008216792 |
DAIMLER AG SR UNSECURED REGS 04/25 2.625 4/25 | DE000A289RN6 | Deutschland | EUR | Bond | - | - | unknown | 0.0008194987 |
BBG00YCG6B96 BNP PARIBAS SA 12/32 | FR0014000UL9 | Frankreich | EUR | Bond | - | - | unknown | 0.0008193548 |
RICHEMONT INTERNATIONAL HOLDING SA 2.000% 2038-03-26 | XS1789759195 | Schweiz | EUR | Bond | - | - | unknown | 0.0008142862 |
FRANCE TELECOM 09/30 AU388690 | FR0013359239 | Frankreich | EUR | Bond | - | - | unknown | 0.0008137934 |
FRANCE TELECOM 01/29 AW568484 | FR0013396520 | Frankreich | EUR | Bond | - | - | unknown | 0.0008115036 |
FRANCE TELECOM 07/24 AW568483 | FR0013396512 | Frankreich | EUR | Bond | - | - | unknown | 0.0008108811 |
ROYAL BANK OF SCOTLAND 03/25 AR504024 | XS1788515606 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008090569 |
SAP AG 03/31 AV984929 | DE000A2TSTG3 | Deutschland | EUR | Bond | - | - | unknown | 0.0008079748 |
BNP PARIBAS 02/25 EUR36672 | XS1190632999 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0008063607 |
ABN AMRO BANK NV 01/24 AW568319 | XS1935139995 | Niederlande | EUR | Bond | - | - | Financial | 0.0008056844 |
INTERNATIONAL BUSINESS MACHINE | XS2115091717 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0008043147 |
BANK OF AMERICA CORP 05/26 AN290126 | XS1602547264 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0008028659 |
MORGAN STANLEY DEAN WITTER 03/24 EUR51644 | XS1379171140 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0008027029 |
BPCE SA 4/25 | FR0013509726 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0008012413 |
BARCLAYS PLC 02/23 AO968337 | XS1678970291 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0008011863 |
BBG00Y47ZV08 DEUTSCHE BANK AG 11/25 | DE000DL19VR6 | Deutschland | EUR | Bond | - | - | unknown | 0.0007998283 |
DAIMLERCHRYSLER NORTH AMER 02/25 AM597885 | DE000A2DADM7 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0007985387 |
ING BANK 09/28 AU539693 | XS1882544973 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0007984823 |
BBG01135CMX3 BANK OF AMERICA CORP 5/32 | XS2345798271 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007970101 |
UNICREDITO ITALIANO SPA 01/23 AQ738833 | XS1754213947 | Italien | EUR | Bond | Baa3 | - | unknown | 0.000795762 |
TORONTO-DOMINION BANK 0.375% 2024-04-25 | XS1985806600 | Kanada | EUR | Bond | - | - | Financial | 0.0007956756 |
COCA-COLA CO 03/27 EUR36991 | XS1197833053 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | Consumer, Non-cyclical | 0.0007954915 |
BANQUE FEDCRED MUTUEL 02/24 ACI1D1BQ7 | FR0013432770 | Frankreich | EUR | Bond | - | - | unknown | 0.0007919547 |
GOLDMAN SACHS GROUP INC 07/23 EUR40079 | XS1265805090 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007903438 |
BPCE SA | FR0013476199 | Frankreich | EUR | Bond | - | - | unknown | 0.0007887048 |
BBG01173CDF4 BANQUE FEDCRED MUTUEL 11/28 | FR0014003SA0 | Frankreich | EUR | Bond | - | - | unknown | 0.000787912 |
CITIGROUPINC | XS2063232727 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007866952 |
APPLE INC 05/29 AN646815 | XS1619312686 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | Technology | 0.0007865189 |
TELEFONICA EMISONES SAU 01/28 AP029499 | XS1681521081 | Spanien | EUR | Bond | - | - | unknown | 0.000786316 |
BRITISH TELECOMMUNICATIONS 03/26 EUR51617 | XS1377679961 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0007853837 |
BBG0113594R4 CREDIT SUISSE AG/LONDON 1/26 | XS2345982362 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007845443 |
CREDIT AGRICOLE LONDON | XS1958307461 | Frankreich | EUR | Bond | - | - | unknown | 0.0007836712 |
FIDELITY NATIONAL INFORMATION SERVICES INC 1.500% 2027-05-21 | XS1843436228 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000782875 |
BBG00ZN66SM1 BANK OF AMERICA CORP 3/31 | XS2321427408 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007826135 |
BBG00ZF997W6 EASYJET FINCO BV 3/28 | XS2306601746 | Niederlande | EUR | Bond | - | - | unknown | 0.0007814477 |
BBG00ZV8P8T4 BANQUE FED CRED MUTUEL SR UNSECURED REGS 05/26 0.01 5/26 | FR0014002S57 | Frankreich | EUR | Bond | - | - | unknown | 0.0007803995 |
FRANCE 4/32 | FR0013507878 | Frankreich | EUR | Bond | - | - | unknown | 0.0007771164 |
BBG012NV6V14 ING GROEPNV 9/28 | XS2390506546 | Niederlande | EUR | Bond | - | - | unknown | 0.0007766237 |
BANCO SANTANDER SA 03/25 EUR37203 | XS1201001572 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0007758888 |
VERIZON COMMUNICATIONS INC 02/26 | XS1030900242 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007757726 |
BANK OF AMERICA CORP 07/23 EUR52812 | XS1458405898 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0007747921 |
BBG0120QN8H5 BACR V0.577 08/09/29 8/29 | XS2373642102 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007722198 |
CREDIT AGRICOLE SA 05/27 AN346558 | XS1605365193 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0007716281 |
HSBC HOLDING PLC 03/27 EUR51642 | XS1379184473 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0007696218 |
BNP PARIBAS 03/23 | XS0606704558 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0007688342 |
IBM CORP 01/31 AW898686 | XS1945110861 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0007681843 |
ALLIANZ FINANCE BV 07/25 EUR37947 | DE000A14J9N8 | Deutschland | EUR | Bond | A2 | - | Financial | 0.0007679977 |
VERIZON COMMUNICATIONS INC 0.875% 2027-04-08 | XS1979280853 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000765963 |
DAIMLER INTL FINANCE BV | DE000A2RYD83 | Deutschland | EUR | Bond | - | - | unknown | 0.000765035 |
UBS GROUP AG | CH0520042489 | Schweiz | EUR | Bond | - | - | Financial | 0.0007648045 |
BMW AG 07/23 AQ597635 | XS1747444245 | Deutschland | EUR | Bond | - | - | unknown | 0.0007642877 |
ROYAL BANK OF SCOTLAND 03/23 EUR51721 | XS1382368113 | Großbritannien (UK) | EUR | Bond | Baa3 | - | unknown | 0.0007641043 |
TELEFONICA EMISONES SAU 01/23 | XS0874864860 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0007629037 |
TELEFONICA EMIS. SAU 8/27 | XS2177441990 | Spanien | EUR | Bond | - | - | unknown | 0.0007624617 |
MUNICH RE 05/29 AV577281 | XS1843448314 | Deutschland | EUR | Bond | - | - | Financial | 0.0007623771 |
HSBC HOLDING PLC 06/25 EUR39529 | XS1254428896 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0007599276 |
SPAIN 1/26 | XS2168647357 | Spanien | EUR | Bond | - | - | unknown | 0.0007570705 |
UBS GROUP FUNDING 09/26 EUR52974 | CH0336602930 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0007570198 |
VINCI SA 09/30 AU573215 | FR0013367638 | Frankreich | EUR | Bond | - | - | Industrial | 0.0007508262 |
BBG00YTZVC69 CREDIT SUISSE GROUP AG 1/33 | CH0591979627 | Schweiz | EUR | Bond | - | - | unknown | 0.0007492501 |
SNAM SPA 10/26 EUR53372 | XS1505573482 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0007483607 |
VERIZON COMMUNICATIONS INC 1.250% 2030-04-08 | XS1979280937 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007482149 |
DAIMLERCHRYSLER NORTH AMER 11/25 AS491729 | DE000A190NE4 | Deutschland | EUR | Bond | - | - | unknown | 0.0007469101 |
DH EUROPEFINANCE 9/39 | XS2050406177 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007446941 |
BANQUE FED CRED MUTUEL 07/25 AQ658801 | XS1750122225 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0007446434 |
WAL-MART STORES 09/29 | XS0453133950 | Vereinigte Staaten von Amerika | EUR | Bond | Aa2 | - | unknown | 0.0007444568 |
DANONE (GROUPE) 11/24 EUR53552 | FR0013216918 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.000743542 |
BRITISH SKY BROADCASTING 09/26 EUR32779 | XS1109741329 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0007409557 |
COOPERATIEVE RABOBANK UA | XS1956955980 | Niederlande | EUR | Bond | - | - | Financial | 0.000738774 |
APPLE INC 05/25 AN646797 | XS1619312173 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | unknown | 0.000737648 |
CREDIT SUISSE GROUP AG 1.000% 2027-06-24 | CH0483180946 | Schweiz | EUR | Bond | - | - | unknown | 0.0007375277 |
ESSILOR 26 0.375 1/26 | FR0013516069 | Frankreich | EUR | Bond | - | - | unknown | 0.0007374407 |
BANCO SANTANDER SA 04/26 EUR51716 | XS1384064587 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.000736977 |
1,3% VERIZON COMMUNICATIONS 5/33 | XS2176560444 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007368143 |
SUMITOMO MITSUI FIN GROUP 06/26 EUR52446 | XS1426022536 | Japan | EUR | Bond | A1 | - | Financial | 0.000735102 |
FIDELITY NATIONAL INFORMATION SERVICES INC 0.750% 2023-05-21 | XS1843436574 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007350133 |
BBG00ZL4N0W9 INTESA SANPAOLO SPA 3/28 | XS2317069685 | Italien | EUR | Bond | - | - | unknown | 0.0007338099 |
ASSICURAZIONI GENERALI SPA 10/27 EUR43073 | XS1311440082 | Italien | EUR | Bond | Baa3 | - | unknown | 0.000733401 |
SOCIETE GENERALE SA | FR0013479276 | Frankreich | EUR | Bond | - | - | Financial | 0.0007330713 |
BBG011PQH2W3 AMERICAN HONDA FINANCE 7/28 | XS2363117321 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007321318 |
BANQUE FED CRED MUTUEL 11/22 AT518884 | XS1856833543 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0007317525 |
J.P. MORGAN & CO INC 10/26 EUR52071 | XS1402921412 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0007314152 |
CITIGROUP INC 1.250% 2029-04-10 | XS1980064833 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.000731232 |
GOLDMAN SACHS GROUP INC 05/25 EUR53505 | XS1509006380 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007308086 |
UNILEVER NV COMPANY GUAR REGS 03/30 1.75 3/30 | XS2147133578 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0007282335 |
UNICREDIT SPA 6/26 | XS2190134184 | Italien | EUR | Bond | - | - | unknown | 0.0007279278 |
VERIZON COMMUNICATIONS INC 11/28 EUR53563 | XS1405766624 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007269576 |
BBG012V81QG6 THER FI 1.625 10-41 10/41 | XS2366415201 | Niederlande | EUR | Bond | - | - | unknown | 0.0007258599 |
DH EUROPEFINANCE 3/26 | XS2050404636 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007258324 |
BBG00Z6B9X18 JPMORGAN CHASE & CO 2/33 | XS2300175655 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007248607 |
SOCIETE GENERALE SA 2/26 | FR0013486701 | Frankreich | EUR | Bond | - | - | unknown | 0.0007246658 |
VERIZON COMMUNICATIONS INC 10/26 92343VEC | XS1708161291 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007217718 |
BANK OF AMERICA CORP 06/24 | XS1079726334 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007201321 |
PRICELINE GROUP INC/THE 03/27 EUR36920 | XS1196503137 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | Communications | 0.000716326 |
VODAFONE GROUP PLC 07/31 EUR52847 | XS1463101680 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0007159607 |
BAC V0.654 10/26/31 10/31 | XS2248451978 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0007158724 |
UBS GROUP AG 11/28 | CH0576402181 | Schweiz | EUR | Bond | - | - | unknown | 0.0007152603 |
UNICREDIT SPA FRN + 1.250% 2025-06-25 | XS2017471553 | Italien | EUR | Bond | - | - | unknown | 0.0007139777 |
DAIMLER AG 8/26 | DE000A289XJ2 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0007126147 |
SIEMENS 03/28 | DE000A1UDWN5 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0007122422 |
VERIZON COMMUNICATIONS INC 12/31 EUR33947 | XS1146286205 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0007106722 |
BANQUE FED CRED MUTUEL 11/23 | XS0997775837 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0007099494 |
SOCIETE GENERALE 03/29 AX728238 | FR0013410818 | Frankreich | EUR | Bond | - | - | Financial | 0.0007099361 |
CREDIT AGRICOLE SA 03/29 AX751474 | XS1968706108 | Frankreich | EUR | Bond | - | - | Financial | 0.0007095575 |
BANCO SANTANDER SA 02/28 AR050170 | XS1767931121 | Spanien | EUR | Bond | - | - | unknown | 0.0007082357 |
ASF 01/27 EUR54573 | FR0013231099 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0007058246 |
TELEFONICA EMISONES SAU 01/27 AQ784189 | XS1756296965 | Spanien | EUR | Bond | - | - | unknown | 0.0007036924 |
NOVARTIS FINANCE SA 09/23 EUR53120 | XS1492825051 | Schweiz | EUR | Bond | Aa3 | - | unknown | 0.0007016031 |
BANQUE FED CRED MUTUEL 05/27 AN629675 | XS1617831026 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0007013676 |
MORGAN STANLEY DEAN WITTER 01/25 EUR36413 | XS1180256528 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007011617 |
MORGAN STANLEY DEAN WITTER 10/26 EUR53532 | XS1511787589 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0007004908 |
BBG00YRSJBM5 BPCE SA 1/31 | FR0014001G37 | Frankreich | EUR | Bond | - | - | unknown | 0.0007002897 |
DEUTSCHE TELEKOM AG 01/24 EUR54710 | XS1557096267 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0006995205 |
TELEFONICA EMISONES SAU 01/25 EUR54622 | XS1550951211 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0006992686 |
BANK OF AMERICA CORP 02/24 EUR54764 | XS1560863802 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0006983212 |
INTESA 08/23 AU216278 | XS1873219304 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0006926197 |
BANQUE FED CRED MUTUEL 01/25 EUR35234 | XS1166201035 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0006923673 |
ABN AMRO BANK NV 5/25 | XS2180510732 | Niederlande | EUR | Bond | - | - | unknown | 0.000691444 |
0.5% NORDEA BANK ABP 5/27 | XS2171874519 | Finnland | EUR | Bond | - | - | unknown | 0.0006911658 |
"BANK OF AMERICA CORPORATION" 5/26 | XS1991265478 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0006909968 |
BBG011979BL4 NESTLE FINANCE INTERNATIONAL L 6/26 | XS2350621863 | Luxemburg | EUR | Bond | - | - | unknown | 0.000689644 |
FEDERAL EXPRESS CORP 01/27 31428XBL | XS1319820541 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0006889267 |
BNP PARIBAS 06/26 AQ609781 | XS1748456974 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0006888335 |
BRITISH TELECOMMUNICATIONS 06/27 AO042243 | XS1637333748 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0006887073 |
DANSKE BANK A/S 05/23 AS444352 | XS1799061558 | Dänemark | EUR | Bond | Baa2 | - | Financial | 0.00068725 |
INTESA SANPAOLO SPA 1.000% 2024-07-04 | XS2022425297 | Italien | EUR | Bond | - | - | unknown | 0.0006866843 |
SOCIETE GENERALE 01/25 AQ804061 | FR0013311503 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0006862763 |
BANK OF AMERICA CORP FRN + 1.662% 2028-04-25 | XS1811435251 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006862259 |
DOW CHEMICAL CO/THE 3/27 | XS2122485845 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006861254 |
INTESA SANPAOLO SPA | XS2081018629 | Italien | EUR | Bond | - | - | unknown | 0.0006860537 |
BPCE SA 07/24 AW568282 | FR0013396447 | Frankreich | EUR | Bond | A1 | - | Financial | 0.0006857515 |
GROUPAMA SA 05/24 EUR27938 | FR0011896513 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0006850269 |
BNP PARIBAS SA 4/29 | FR0013508710 | Frankreich | EUR | Bond | - | - | unknown | 0.0006832739 |
SANOFI-AVENTIS 01/27 EUR53039 | FR0013201639 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0006818923 |
ESSILOR 28 0.5 6/28 | FR0013516077 | Frankreich | EUR | Bond | - | - | unknown | 0.0006810953 |
DAIMLERCHRYSLER NORTH AMER 04/24 AT830138 | DE000A194DD9 | Deutschland | EUR | Bond | - | - | unknown | 0.000677553 |
UNITED STATES 5/28 | XS2168625544 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006775018 |
BPCE SA 0.625% 2024-09-26 | FR0013429073 | Frankreich | EUR | Bond | - | - | unknown | 0.0006772627 |
BANCO SANTANDER SA 12/22 EUR45012 | XS1330948818 | Spanien | EUR | Bond | A2 | - | unknown | 0.00067707 |
ABN AMRO BANK NV 07/23 AT519156 | XS1856791873 | Niederlande | EUR | Bond | - | - | Financial | 0.0006742803 |
HSBC FRANCE SA 0.600% 2023-03-20 | FR0013323722 | Frankreich | EUR | Bond | - | - | unknown | 0.0006736625 |
ABN AMRO BANK NV | XS2102283061 | Niederlande | EUR | Bond | - | - | Financial | 0.0006729452 |
APPLE INC 09/27 EUR41583 | XS1292389415 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | unknown | 0.0006729138 |
HOLCIM LTD 05/28 EUR52280 | XS1420338102 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0006717725 |
0.875% CREDIT AGRICOLE 01/32 | XS2099546488 | Frankreich | EUR | Bond | - | - | Financial | 0.0006697568 |
DEUTSCHE TELEKOM AG 12/25 AS750219 | XS1828032786 | Deutschland | EUR | Bond | - | - | unknown | 0.0006695253 |
SIEMENS FINANCIERINGSMAT 2/23 | XS2118276539 | Niederlande | EUR | Bond | - | - | unknown | 0.0006681693 |
BMW FINANCE NV 3/23 | XS2055727916 | Deutschland | EUR | Bond | - | - | unknown | 0.0006681228 |
IBM CORP 01/27 AW898685 | XS1945110606 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Technology | 0.0006680923 |
BBG0136NJK00 UBS GROUPAG 11/31 | CH1142231690 | Schweiz | EUR | Bond | - | - | unknown | 0.000667804 |
COMMERZBANK AG | DE000CZ40NS9 | Deutschland | EUR | Bond | - | - | unknown | 0.0006672043 |
SANOFI 1.5% APR30 EMTN 4/30 | FR0013505112 | Frankreich | EUR | Bond | - | - | unknown | 0.0006669598 |
BANCO SANTANDER SA | XS2113889351 | Spanien | EUR | Bond | - | - | unknown | 0.0006648216 |
SUMITOMO MITSUI FINL GRP 10/29 ACI1G6895 | XS2066392452 | Japan | EUR | Bond | - | - | Financial | 0.0006641773 |
BANCO BILBAO VIZCAYA ARG | XS2101349723 | Spanien | EUR | Bond | - | - | unknown | 0.0006640113 |
BNP PARIBAS SA 2/28 | FR0013484458 | Frankreich | EUR | Bond | - | - | Financial | 0.0006626562 |
TELEFONICA EMISONES SAU 03/29 AX520478 | XS1961772560 | Spanien | EUR | Bond | - | - | unknown | 0.0006625638 |
SIEMENS 09/30 AU269514 | XS1874127902 | Deutschland | EUR | Bond | - | - | unknown | 0.0006618996 |
DAIMLERCHRYSLER NORTH AMER 05/28 EUR52139 | DE000A169NC2 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0006610391 |
NORDEA BANK 02/25 EUR36613 | XS1189263400 | Finnland | EUR | Bond | Aa3 | - | unknown | 0.0006608136 |
VODAFONE GROUP PLC 11/25 AQ049789 | XS1721423462 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006607248 |
SOCIETE GENERALE 09/28 AU654127 | FR0013368602 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0006601545 |
BBG0129C5TZ1 VONOVIA SE 12/25 | DE000A3MP4T1 | Deutschland | EUR | Bond | - | - | unknown | 0.0006589299 |
BBG00ZXLRMJ1 BNP PARIBAS SA 4/27 | FR0014002X43 | Frankreich | EUR | Bond | - | - | unknown | 0.0006589033 |
RICHEMONT INTERNATIONAL HOLDING SA 1.500% 2030-03-26 | XS1789752182 | Schweiz | EUR | Bond | - | - | unknown | 0.000658826 |
SWEDEN 4/25 | XS2156510021 | Schweden | EUR | Bond | Aa2 | - | unknown | 0.0006584803 |
2.875% AUCHAN HLDGS. 01/26 | FR0013510179 | Frankreich | EUR | Bond | - | - | unknown | 0.0006583128 |
FR 9/27 | FR0013444304 | Frankreich | EUR | Bond | - | - | unknown | 0.0006580996 |
CITIGROUP INC 01/25 EUR36357 | XS1173792059 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0006577299 |
SVENSKA HANDELSBANKEN 12/22 EUR45300 | XS1333139746 | Schweden | EUR | Bond | Aa2 | - | unknown | 0.0006574221 |
BBG00ZNGWGC7 GOLDMAN SACHS GROUP INC 3/33 | XS2322254249 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006568442 |
BBG0106MTLC2 CCEP FINANCE IRELAND DAC 5/33 | XS2337061753 | Irland | EUR | Bond | - | - | unknown | 0.0006566387 |
BNP PARIBAS 01/23 EUR46837 | XS1345331299 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0006563069 |
UNIBAIL RODAMCO SE FRN + 2.125% PERP | FR0013330529 | Frankreich | EUR | Bond | - | - | Financial | 0.0006562597 |
BBG00Z4RY8J3 BANCO SANTANDER SA 2/28 | XS2298304499 | Spanien | EUR | Bond | - | - | unknown | 0.0006561003 |
COCA COLA 3/29 | XS2233154538 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006548515 |
CREDIT AGRICOLE ASSURANCES 09/28 EUR53173 | FR0013203734 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0006542404 |
MERCK KGAA FRN + 2.875% 2079-06-25 | XS2011260705 | Deutschland | EUR | Bond | - | - | unknown | 0.0006530774 |
J.P. MORGAN & CO INC 02/26 | XS1034975406 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0006525303 |
ELI LILLY+ CO | XS2075938006 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0006522264 |
BBG010SLSHG6 BARCLAYS PLC 5/32 | XS2342060360 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006516644 |
BBG00Y4N68J6 ING GROEP NV 2/29 | XS2258452478 | Niederlande | EUR | Bond | - | - | unknown | 0.0006494646 |
BBG0129C5V04 VONOVIA SEINDUSTRY 9/28 | DE000A3MP4U9 | Deutschland | EUR | Bond | - | - | unknown | 0.0006493318 |
SOCIETE GENERALE 02/25 EUR36846 | XS1195574881 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0006492128 |
NATIONAL AUSTRALIA BANK LTD 08/28 AU191886 | XS1872032799 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0006480595 |
BANQUE FED CRED MUTUEL 07/28 AT518890 | XS1856834608 | Frankreich | EUR | Bond | - | - | unknown | 0.000647679 |
ORANGE SA 1.375% 2028-03-20 | FR0013323870 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0006472443 |
BBG0129CG4G5 CREDIT SUISSE AG LONDON 9/28 | XS2381671671 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006472261 |
SAP AG 03/28 AV984891 | DE000A2TSTF5 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0006469725 |
BMW AG 11/22 AS639493 | XS1823246712 | Niederlande | EUR | Bond | - | - | unknown | 0.0006463878 |
BBG00ZN6F3L7 VERIZON COMMUNICATIONS 3/29 | XS2320759538 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006460298 |
BRITISH TELECOMMUNICATIONS 03/23 EUR51618 | XS1377681272 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0006452099 |
COMMERZBANK AG 08/23 AU145662 | DE000CZ40M21 | Deutschland | EUR | Bond | - | - | unknown | 0.0006450648 |
BBG0129C5VC1 VONOVIA SE 9/32 | DE000A3MP4V7 | Deutschland | EUR | Bond | - | - | unknown | 0.0006449744 |
CREDIT AGRICOLE SA 05/24 | XS1069521083 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0006447685 |
DAIMLER AG | DE000A2YNZW8 | Deutschland | EUR | Bond | - | - | unknown | 0.0006443793 |
DAIMLER AG 8/23 | DE000A289XH6 | Deutschland | EUR | Bond | - | - | unknown | 0.000643593 |
HSBC HOLDING PLC 12/23 AV898118 | XS1917601582 | Großbritannien (UK) | EUR | Bond | - | - | Financial | 0.0006429151 |
INTESA SANPAOLO SPA 1.750% 2028-03-20 | XS1785340172 | Italien | EUR | Bond | - | - | unknown | 0.0006412118 |
TERNA SPA 07/27 AO424187 | XS1652866002 | Italien | EUR | Bond | - | - | unknown | 0.0006410609 |
CREDIT AGRICOLE SA 07/23 | XS0953564191 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0006405355 |
LLOYDS TSB BANK PLC 01/23 AQ658897 | XS1749378342 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006403025 |
NATWEST MARKETS PLC 1.000% 2024-05-28 | XS2002491517 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006398986 |
0,875% GOLDMAN SACHS SR UNSECURED REGS 01/30 | XS2107332640 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006391548 |
BNP PARIBAS SA 1.375% 2029-05-28 | FR0013422011 | Frankreich | EUR | Bond | - | - | unknown | 0.000638404 |
TAKEDA PHARMACEUTICAL SR UNSECURED 07/40 2 7/40 | XS2198582301 | Japan | EUR | Bond | - | - | unknown | 0.0006369409 |
DEUTSCHE TELEKOM AG 03/31 AX644544 | DE000A2TSDE2 | Deutschland | EUR | Bond | - | - | unknown | 0.0006366418 |
DH EUROPE FINANCE II SARL 3/28 | XS2050404800 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006364348 |
DEUTSCHE TELEKOM AG | XS2024715794 | Deutschland | EUR | Bond | - | - | unknown | 0.0006348296 |
DAIMLERCHRYSLER NORTH AMER 05/27 ZQ3764128 | DE000A2R9ZU9 | Deutschland | EUR | Bond | - | - | unknown | 0.0006314537 |
NATIONWIDE BUILDING SOCIETY 07/24 AO407164 | XS1651453729 | Großbritannien (UK) | EUR | Bond | Baa1 | - | Financial | 0.00063024 |
FIDELITY NATIONAL INFORMATION SERVICES INC 2.000% 2030-05-21 | XS1843435923 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006302215 |
MORGAN STANLEY DEAN WITTER 10/25 AP638234 | XS1706111793 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006298052 |
VODAFONE GROUP PLC 1.625% 2030-11-24 | XS2002018500 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006289253 |
CREDIT SUISSE FIRST BOSTON 06/23 EUR52366 | XS1428769738 | Schweiz | EUR | Bond | A1 | - | unknown | 0.0006283883 |
SANOFI SR UNSECURED REGS 04/25 1 4/25 | FR0013505104 | Frankreich | EUR | Bond | - | - | unknown | 0.0006276797 |
APPLE INC 01/24 EUR41584 | XS1292384960 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | unknown | 0.0006273898 |
CAIXABANK 03/26 AX751775 | XS1968846532 | Spanien | EUR | Bond | - | - | unknown | 0.0006272751 |
UBS GROUP FUNDING 11/24 EUR53717 | CH0341440334 | Schweiz | EUR | Bond | Baa1 | - | Financial | 0.0006246121 |
IBM CORP 05/25 AN630621 | XS1617845083 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Technology | 0.0006244672 |
TELIASONERA AB 04/23 AM938782 | XS1590787799 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0006240868 |
CREDIT SUISSE GROUP AG | CH0517825276 | Schweiz | EUR | Bond | - | - | unknown | 0.000623296 |
BANCO SANTANDER SA 01/25 AQ688602 | XS1751004232 | Spanien | EUR | Bond | - | - | unknown | 0.0006229757 |
BBG00YRDY8C9 BMW FINANCE NV 1/26 | XS2280845491 | Niederlande | EUR | Bond | - | - | unknown | 0.0006228258 |
DEUTSCHE BANK AG 01/23 | DE000DB5DCS4 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0006227643 |
PROCTER & GAMBLE CO 11/23 742718EL | XS1314318301 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0006226436 |
MORGAN STANLEY DEAN WITTER 03/23 EUR32981 | XS1115208107 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0006225832 |
ASSICURAZIONI GENERALI SPA 05/26 | XS1062900912 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0006223882 |
THERMO FISHER SCIENTIFIC SR UNSECURED 10/49 1.875 10/49 | XS2058557344 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0006220037 |
BPCE SA 04/25 AX890179 | FR0013412343 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0006218948 |
UNICREDITO ITALIANO SPA 03/23 EUR51576 | XS1374865555 | Italien | EUR | Bond | Baa1 | - | unknown | 0.000621611 |
IBM CORP 05/23 459200HY | XS1143163183 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0006192017 |
BBG00Z905042 UBS GROUP AG SR UNSECURED REGS 02/33 0.625 2/33 | CH0595205532 | Schweiz | EUR | Bond | - | - | unknown | 0.0006185549 |
ING BANK 09/23 AU539692 | XS1882544627 | Niederlande | EUR | Bond | - | - | unknown | 0.0006184046 |
CREDIT AGRICOLE SA 02/26 | XS1028421383 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0006183665 |
DAIMLER INTL FINANCE BV | DE000A2RYD91 | Deutschland | EUR | Bond | - | - | unknown | 0.0006179785 |
UBS GROUP FUNDING 11/22 EUR43907 | CH0302790123 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0006172331 |
DAIMLERCHRYSLER NORTH AMER 03/26 EUR51594 | DE000A2AAL31 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0006160687 |
SIEMENS FINANCIERINGSMAATSCHAP 6/26 | XS2182054887 | Niederlande | EUR | Bond | - | - | unknown | 0.000615482 |
GOLDMAN SACHS GROUP INC 02/31 EUR50910 | XS1362373224 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0006152768 |
CARREFOUR SA SR UNSECURED REGS 12/27 2.625 12/27 | FR0013505260 | Frankreich | EUR | Bond | - | - | unknown | 0.0006151927 |
DANONE (GROUPE) 06/23 AP691131 | FR0013292828 | Frankreich | EUR | Bond | - | - | unknown | 0.0006151015 |
NORDEA BANK 02/23 EUR51468 | XS1368470156 | Finnland | EUR | Bond | Aa3 | - | unknown | 0.0006150412 |
BPCE SA 09/23 AR713828 | FR0013367406 | Frankreich | EUR | Bond | A1 | - | Financial | 0.0006150291 |
DAIMLERCHRYSLER NORTH AMER 11/31 ZQ3764136 | DE000A2YPFU9 | Deutschland | EUR | Bond | - | - | unknown | 0.0006144176 |
BANK OF NOVA SCOTIA 0.500% 2024-04-30 | XS1987142673 | Kanada | EUR | Bond | - | - | Financial | 0.0006141475 |
DEUTSCHE TELEKOM AG 12/29 AS750221 | XS1828033834 | Deutschland | EUR | Bond | - | - | unknown | 0.0006140678 |
CAIXABANK 01/23 AO968073 | XS1679158094 | Spanien | EUR | Bond | - | - | unknown | 0.0006137127 |
SAP AG 02/23 EUR33729 | DE000A13SL26 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0006133222 |
APPLE INC 11/22 EUR33594 | XS1135334800 | Vereinigte Staaten von Amerika | EUR | Bond | Aa1 | - | Technology | 0.0006126801 |
ST GOBAIN NEDERLAND BV 03/31 AX543404 | XS1962571011 | Frankreich | EUR | Bond | - | - | unknown | 0.000612258 |
SCHNEIDER SA 09/24 EUR53016 | FR0013201308 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0006120884 |
INTESA SANPAOLO SPA SR UNSECURED REGS 05/25 2.125 5/25 | XS2179037697 | Italien | EUR | Bond | - | - | unknown | 0.0006116524 |
MICHELIN (C.G.D.E.) 09/30 AU272133 | FR0013357852 | Frankreich | EUR | Bond | - | - | unknown | 0.0006116439 |
LLOYDS BANKING GROUP PLC | XS2078918781 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0006111101 |
DASSAULT SYSTEMES 9/29 | FR0013444551 | Frankreich | EUR | Bond | - | - | unknown | 0.0006107599 |
UBS AG (LONDON BRANCH) 0.625% 2023-01-23 | XS1810806635 | Schweiz | EUR | Bond | Aa3 | - | unknown | 0.0006106391 |
TELEFONICA EMISIONES SAU | XS2112289207 | Spanien | EUR | Bond | - | - | unknown | 0.0006105485 |
BANCO SANTANDER SA 0.250% 2024-06-19 | XS2014287937 | Spanien | EUR | Bond | - | - | unknown | 0.0006104761 |
ESSILORLUXOTTICA | FR0013463643 | Frankreich | EUR | Bond | - | - | unknown | 0.0006075172 |
BNP PARIBAS CARDIF SA 11/25 EUR33802 | FR0012329845 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0006073941 |
SIEMENS FINANCIERINGSMAT 2/29 | XS2118276026 | Niederlande | EUR | Bond | - | - | unknown | 0.0006072274 |
IBM CORP 11/25 | XS0991099630 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0006071332 |
DASSAULT SYSTEMES SE 9/26 | FR0013444544 | Frankreich | EUR | Bond | - | - | unknown | 0.0006070885 |
FRANCE 4/29 | FR0013507860 | Frankreich | EUR | Bond | - | - | unknown | 0.0006069647 |
DAIMLERCHRYSLER NORTH AMER 11/27 AP909022 | DE000A2GSLY0 | Deutschland | EUR | Bond | - | - | unknown | 0.0006065376 |
MUNICH RE 5/41 | XS2221845683 | Deutschland | EUR | Bond | - | - | unknown | 0.0006063397 |
BANCO BILBAO VIZCAYA ARGENTARI | XS2104051433 | Spanien | EUR | Bond | - | - | unknown | 0.000606062 |
ING GROEP NV | XS2049154078 | Niederlande | EUR | Bond | - | - | unknown | 0.0006048422 |
J.P. MORGAN & CO INC 05/28 | XS0935427970 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0006047024 |
SOCIETE GENERALE SA | FR0014002QE8 | Frankreich | EUR | Bond | - | - | unknown | 0.0006033205 |
BBG00YVDZJ66 UNICREDITSPA 1/26 | XS2289133915 | Italien | EUR | Bond | - | - | unknown | 0.0006018411 |
SIEMENS 09/23 AU269467 | XS1874127811 | Deutschland | EUR | Bond | - | - | unknown | 0.0006017349 |
BBG011NZ71W8 SOCIETE GENERALE 7/27 | FR0014004GE5 | Frankreich | EUR | Bond | - | - | unknown | 0.0006014124 |
AVIVA PLC 12/25 EUR39027 | XS1242413679 | Großbritannien (UK) | EUR | Bond | A3 | - | Financial | 0.0006006062 |
JPMORGAN CHASE + CO SR UNSECURED REGS 02/28 VAR 2/28 | XS2123320033 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0006005247 |
BBG00ZNGWV61 BANCO BILBAO VIZCAYA ARGENTARI 3/27 | XS2322289385 | Spanien | EUR | Bond | - | - | unknown | 0.0006003858 |
BBG00Y47PBM9 OP CORPORATE BANK PLC 11/27 | XS2258389415 | Finnland | EUR | Bond | - | - | unknown | 0.0005997216 |
BBG011F3QB00 NWG 0.125 06/18/26 EMTN 6/26 | XS2355599197 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000599468 |
BANQUE FEDCRED MUTUEL 2/31 | FR00140007J7 | Frankreich | EUR | Bond | - | - | unknown | 0.0005977651 |
VINCI SA 01/29 AW661564 | FR0013397452 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0005969161 |
DAIMLER AG 1.45% 10/09/30 EUR REGS 9/30 | DE000A289QR9 | Deutschland | EUR | Bond | - | - | unknown | 0.0005965968 |
AXA SA 11/24 EUR33642 | XS1134541306 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0005950901 |
AUTOROUTES DU SUD DE LA | FR0013404571 | Frankreich | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0005942695 |
ASF 01/30 AQ711529 | FR0013310455 | Frankreich | EUR | Bond | - | - | unknown | 0.0005941064 |
THERMO FISHER SCIENTIFIC 09/24 EUR53052 | XS1405775708 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0005931873 |
SAP AG 02/27 EUR33728 | DE000A13SL34 | Deutschland | EUR | Bond | A2 | - | Technology | 0.0005922695 |
BBG012JYF9L0 GOLDMAN SACHS GROUP INC 3/32 | XS2389353264 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005920696 |
NESTLE FINANCE INTL LTD COMPANY GUAR REGS 04/30 1.5 4/30 | XS2148390755 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005917005 |
CANADIAN IMPERIAL BANK OF COMMERCE 0.750% 2023-03-22 | XS1796257092 | Kanada | EUR | Bond | - | - | unknown | 0.0005905426 |
UNITED STATES 5/24 | XS2168625460 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005876222 |
CREDIT AGRICOLE SA 04/23 | XS0617251995 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0005875088 |
FRANCE TELECOM 01/30 AQ688604 | FR0013310224 | Frankreich | EUR | Bond | - | - | unknown | 0.0005867154 |
BANQUE FED CRED MUTUEL 03/26 EUR51755 | XS1385945131 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005866827 |
BPCE SA 07/23 | FR0011538222 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0005859545 |
BBG012CD6GS0 HOLCIM FINANCE LUX SA 9/30 | XS2384273715 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005858512 |
HEIDELBERGCEMENT AG 02/25 EUR53740 | XS1529515584 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0005852101 |
BBG0136NJJ03 UBS GROUP AG 25 0.25 11/26 | CH1142231682 | Schweiz | EUR | Bond | - | - | unknown | 0.0005847406 |
BBG0134RSMT8 SVENSKA HANDELSBANKEN AB 11/26 | XS2404629235 | Schweden | EUR | Bond | - | - | unknown | 0.0005847347 |
AIR LIQUIDE 06/28 EUR52430 | FR0013182847 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0005846285 |
CORPORACION MAPFRE 05/26 EUR52181 | ES0224244071 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0005842209 |
BANQUE FED CRED MUTUEL 05/24 | XS1069549761 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005840687 |
0.375% NESTLE FINANCE INTERN. 5/32 | XS2170362912 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005806288 |
RABOBANK 07/23 | XS0954910146 | Niederlande | EUR | Bond | A3 | - | Financial | 0.0005805199 |
COMMERZBANK AG 09/23 EUR53035 | DE000CZ40LR5 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0005804571 |
CHUBB INA HOLDINGS INC 2.500% 2038-03-15 | XS1785813251 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0005799867 |
INTL FLAVORS & FRAGRANCE 09/26 AU590897 | XS1843459782 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005796395 |
BNP PARIBAS 05/24 | XS1068871448 | Frankreich | EUR | Bond | Aa3 | CAC All-Tradable Index | Financial | 0.0005794764 |
BANQUE FEDERATIVE DU CREDIT MUTUEL SA 1.875% 2029-06-18 | FR0013425162 | Frankreich | EUR | Bond | - | - | unknown | 0.0005792102 |
BANQUE FED CRED MUTUEL 01/26 EUR47048 | XS1346115295 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0005791178 |
CREDIT AGRICOLE ASSURANCES 01/28 AQ804746 | FR0013312154 | Frankreich | EUR | Bond | - | - | Financial | 0.0005781341 |
ASML HOLDING NV 07/26 EUR52579 | XS1405780963 | Niederlande | EUR | Bond | A3 | - | unknown | 0.0005771341 |
COOPERATIEVE RABOBANK UA 1.125% 2031-05-07 | XS1991126431 | Niederlande | EUR | Bond | - | - | unknown | 0.0005762374 |
COMPAGNIEFIN ET INDUS 5/31 | FR0013512621 | Frankreich | EUR | Bond | - | - | unknown | 0.0005761016 |
BBG01367KV09 FOERENINGSBANKEN AB 26 0.25 11/26 | XS2404027935 | Schweden | EUR | Bond | - | - | unknown | 0.0005753172 |
THERMO FISHER SCIENTIFIC 10/39 | XS2058557260 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005750487 |
TERNA SPA 07/23 AT612659 | XS1858912915 | Italien | EUR | Bond | - | - | unknown | 0.0005745491 |
UNITED KINGDOM 4/26 | XS2151069775 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005733672 |
GLAXOSMITHKLINE CAP PLC 05/26 AS639824 | XS1822828122 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005731288 |
FRANCE 7/28 | FR0013507654 | Frankreich | EUR | Bond | - | - | unknown | 0.0005725799 |
BNP PARIBAS 11/25 AN551050 | XS1614416193 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0005725582 |
CAIXABANK 02/24 AW637521 | XS1936805776 | Spanien | EUR | Bond | - | - | unknown | 0.0005722104 |
DEUTSCHE ANNINGTON FINANCE 12/23 EUR45417 | DE000A18V146 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0005719712 |
INTESA SANPAOLO SPA 1.750% 2029-07-04 | XS2022424993 | Italien | EUR | Bond | - | - | unknown | 0.0005718466 |
LEASEPLAN CORP NV 9/23 | XS2051659915 | Niederlande | EUR | Bond | - | - | unknown | 0.0005718328 |
SANOFI-AVENTIS 11/23 | FR0011625433 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0005716669 |
SAMPO OYJ SUBORDINATED REGS 09/52 VAR 9/52 | XS2226645278 | Finnland | EUR | Bond | - | - | unknown | 0.0005715438 |
OP CORPORATE BANK PLC 6/30 | XS2185867673 | Finnland | EUR | Bond | - | - | unknown | 0.0005712377 |
GLAXOSMITHKLINE CAP PLC 12/24 EUR33982 | XS1147605791 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0005696778 |
BBG010WG85S7 BORWARNERINC 5/31 | XS2343846940 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005691561 |
CAIXABANK SA FRN + 2.250% 2030-04-17 | XS1808351214 | Spanien | EUR | Bond | - | - | unknown | 0.0005688953 |
2% CREDIT AGRICOLE ASSURANCES 7/30 | FR0013523602 | Frankreich | EUR | Bond | - | - | unknown | 0.0005686616 |
BPCE SA 10/28 EUR53207 | FR0013204468 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0005682105 |
BANQUE FEDERATIVE DU CREDIT MU 6/30 | FR0013515749 | Frankreich | EUR | Bond | - | - | unknown | 0.0005675094 |
ORANGE SA FRN + 2.375% PERP | FR0013413887 | Frankreich | EUR | Bond | - | - | unknown | 0.0005673192 |
NATIONWIDE BUILDING SOCIETY FRN + 1.500% 2026-03-08 | XS1788834700 | Großbritannien (UK) | EUR | Bond | - | - | Financial | 0.0005665465 |
BBG010Z76953 SWEDBANK AB 5/27 | XS2343563214 | Schweden | EUR | Bond | - | - | unknown | 0.0005661961 |
BMW FINANCE NV | XS2102355588 | Deutschland | EUR | Bond | - | - | unknown | 0.0005660766 |
CAP GEMINI SA 07/23 EUR39533 | FR0012821940 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0005649117 |
CAIXABANK SA 2.750% 2028-07-14 | XS1645495349 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0005647106 |
CAIXABANK SA 1.375% 2026-06-19 | XS2013574038 | Spanien | EUR | Bond | - | - | unknown | 0.0005647052 |
THERMO FISHER SCIENTIFIC SR UNSECURED 10/31 0.875 10/31 | XS2058556619 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005642268 |
ESSILORLUXOTTICA | FR0013463676 | Frankreich | EUR | Bond | - | - | unknown | 0.0005638465 |
BBG00ZTG6V28 UBS AG/LONDON 3/31 | XS2326546350 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005636531 |
BMW AG 01/25 EUR35418 | XS1168962063 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0005633846 |
BANK OF AMERICA CORP | XS2038039074 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005632385 |
CAIXABANK 10/23 AV088947 | XS1897489578 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0005632215 |
NESTLE 11/37 AP670931 | XS1707075245 | Schweiz | EUR | Bond | Aa2 | - | unknown | 0.0005627167 |
BNP PARIBAS SA 1.625% 2031-07-02 | FR0013431277 | Frankreich | EUR | Bond | - | - | Financial | 0.0005623465 |
ROCHE FINANCE EUROPE BV 02/25 EUR36816 | XS1195056079 | Schweiz | EUR | Bond | A1 | - | unknown | 0.0005623139 |
SVENSKA HANDELSBANKEN AB 2/30 | XS2121207828 | Schweden | EUR | Bond | - | - | Financial | 0.0005612979 |
INTESA 01/24 EUR54627 | XS1551306951 | Italien | EUR | Bond | Baa1 | - | unknown | 0.000561189 |
ANZ BANKING GROUP 09/26 EUR53204 | XS1496758092 | Australien | EUR | Bond | Aa3 | - | unknown | 0.0005607053 |
IBM CORP 01/25 459200JT | XS1944456109 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0005605096 |
ING BANK 09/24 AP220562 | XS1689540935 | Niederlande | EUR | Bond | Baa2 | - | Financial | 0.0005602162 |
VERIZON COMMUNICATIONS INC 04/25 EUR53562 | XS1405766897 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0005600477 |
CAIXABANK 05/24 AN550056 | XS1614722806 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.000559939 |
"COMMERZBANK AG" 8/24 | DE000CZ40N04 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0005598633 |
NN GROUP NV 07/26 EUR29441 | XS1028950290 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.000559583 |
MERCK & CO INC 10/26 EUR33191 | XS1028941117 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0005594375 |
BANCO BILBAO VIZCAYA SA 02/24 AX330114 | XS1956973967 | Spanien | EUR | Bond | - | - | unknown | 0.0005590369 |
BBG00YC45YT2 UNIBAIL-RODAMCO-WESTFIELD SE 12/31 | FR0014000UD6 | Frankreich | EUR | Bond | - | - | unknown | 0.0005587217 |
NATIONAL AUSTRALIA BANK LTD 05/26 EUR52190 | XS1412417617 | Australien | EUR | Bond | Aa3 | - | unknown | 0.0005585859 |
BNP PARIBAS 10/23 EUR54539 | XS1547407830 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0005580423 |
CITIGROUP INC 10/28 EUR53493 | XS1457608286 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0005579721 |
BBG012M6WN00 HSBC HOLDINGS PLC SR UNSECURED REGS 09/29 VAR 9/29 | XS2388491289 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005578983 |
MCDONALD'S CORP 11/23 EUR52090 | XS1403264374 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0005576945 |
TELEFONICA EMISONES SAU 02/24 AW941764 | XS1946004451 | Spanien | EUR | Bond | - | - | unknown | 0.0005576673 |
SANTAN CONSUMER FINANCE | XS1956025651 | Spanien | EUR | Bond | - | - | unknown | 0.0005576402 |
DEUTSCHE BANK AG 08/23 AU216712 | DE000DL19UC0 | Deutschland | EUR | Bond | - | - | unknown | 0.0005573467 |
BANCO BILBAO VIZCAYA ARG 06/25 0.75 6/25 | XS2182404298 | Spanien | EUR | Bond | - | - | unknown | 0.0005572 |
1.4% DAIMLER 01/24 | DE000A169G15 | Deutschland | EUR | Bond | A2 | - | Consumer, Cyclical | 0.0005567485 |
HSBC HOLDING PLC 06/28 EUR52371 | XS1428953407 | Großbritannien (UK) | EUR | Bond | A3 | - | Financial | 0.0005566831 |
INTESA 10/23 | XS0986194883 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0005561526 |
BPCE SA 01/24 AQ868946 | FR0013312493 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0005560859 |
BBG00ZF9B7D4 NTT FINANCE CORP COMPANY GUAR REGS 03/25 0.01 3/25 | XS2305026762 | Japan | EUR | Bond | - | - | unknown | 0.0005559713 |
NESTLE FINANCE INTL LTD COMPANY GUAR REGS 04/26 1.125 4/26 | XS2148372696 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005557443 |
TERNA SPA 10/24 | XS0203712939 | Italien | EUR | Bond | Baa1 | - | unknown | 0.000555659 |
0.25% SKANDINAVISKA ENSKILDA 5/23 | XS2176534282 | Schweden | EUR | Bond | - | - | unknown | 0.0005551266 |
BNP PARIBAS 01/27 EUR52889 | XS1470601656 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.000554813 |
CAIXABANK SA 7/26 | XS2200150766 | Spanien | EUR | Bond | - | - | unknown | 0.0005543142 |
RABOBANK 08/23 AU176153 | XS1871439342 | Niederlande | EUR | Bond | A3 | - | unknown | 0.0005541783 |
NORDEA BANK 06/23 AT116160 | XS1842961440 | Finnland | EUR | Bond | - | - | unknown | 0.0005540316 |
BNP PARIBAS 05/28 EUR52262 | XS1419646317 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0005535495 |
IBM CORP 05/29 AN630637 | XS1617845679 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Technology | 0.0005533912 |
NATWEST MARKETS PLC SR UNSECURED REGS 04/25 2.75 4/25 | XS2150006646 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005531298 |
BPCE SA 01/23 EUR54607 | FR0013231743 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0005529555 |
BBG011PR9NX3 PROSUS NV SR UNSECURED REGS 07/29 1.288 7/29 | XS2360853332 | Niederlande | EUR | Bond | - | - | unknown | 0.0005525746 |
DANAHER CORP SR UNSECURED 09/26 2.1 9/26 | XS2147995299 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0005523385 |
BBG0106MTL32 CCEP FINANCE IRELAND DAC 9/25 | XS2337060607 | Irland | EUR | Bond | - | - | unknown | 0.0005522151 |
BANCO SANTANDER SA 10/30 | XS2247936342 | Spanien | EUR | Bond | - | - | unknown | 0.000551874 |
BBG013FVRJT5 JYSKE BANKA/S 2/28 | XS2409134371 | Dänemark | EUR | Bond | - | - | unknown | 0.0005517994 |
MORGAN STANLEY DEAN WITTER 12/22 EUR53750 | XS1529838085 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0005516186 |
BANK OF AMERICA CORP FRN + 1.381% 2030-05-09 | XS1991265395 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005515869 |
BNP PARIBAS | FR0013434776 | Frankreich | EUR | Bond | - | - | unknown | 0.0005506023 |
BANCO DE SABADELL SA 03/23 AQ233629 | XS1731105612 | Spanien | EUR | Bond | - | - | unknown | 0.0005505426 |
RECKITT BENCKISER TREASURY SER 5/26 | XS2177013252 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005505208 |
HSBC FRANCE SA 0.250% 2024-05-17 | FR0013420023 | Frankreich | EUR | Bond | - | - | unknown | 0.0005502708 |
SANTANDER CONSUMER FINANCE SA 0.375% 2024-06-27 | XS2018637913 | Spanien | EUR | Bond | - | - | unknown | 0.0005498795 |
SANTANDER CONSUMER FINANCE SA | XS2100690036 | Spanien | EUR | Bond | - | - | unknown | 0.0005492763 |
CREDIT AGRICOLE SA | XS2067135421 | Frankreich | EUR | Bond | - | - | unknown | 0.0005491133 |
BANCO BILBAO VIZCAYA SA 02/27 EUR54781 | XS1562614831 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0005489394 |
UNICREDIT SPA 04/25 BK5MF4II9 | XS2063547041 | Italien | EUR | Bond | - | - | unknown | 0.0005489067 |
CAIXABANK SA | XS2102931594 | Spanien | EUR | Bond | - | - | unknown | 0.0005488633 |
BRITISH SKY BROADCASTING 11/23 EUR33778 | XS1141969912 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005485294 |
SKANDINAVISKA ENSKILDA BANKEN AB 0.050% 2024-07-01 | XS2020568734 | Schweden | EUR | Bond | - | - | unknown | 0.0005480209 |
0.125% ROYAL BANK OF CANADA | XS2031862076 | Kanada | EUR | Bond | - | - | Financial | 0.0005477274 |
WPP GROUP PLC 11/23 | XS0995643003 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005471704 |
BBG00ZL4HZ22 CAIXABANK SA SUBORDINATED REGS 06/31 VAR 6/31 | XS2310118976 | Spanien | EUR | Bond | - | - | unknown | 0.0005470372 |
BBG01172H611 ABN AMRO BANK NV SR UNSECURED REGS 06/33 1 6/33 | XS2348638433 | Niederlande | EUR | Bond | - | - | unknown | 0.0005468416 |
ALLIANZ SE SUBORDINATED REGS 09/49 VAR 9/29 | DE000A2YPFA1 | Deutschland | EUR | Bond | - | - | unknown | 0.0005466623 |
MICHELIN (C.G.D.E.) 09/38 AU272154 | FR0013357860 | Frankreich | EUR | Bond | - | - | Consumer, Cyclical | 0.0005464141 |
SMURFIT KAPPA ACQUISITIONS UNLIMITED COMPANY 1/26 | XS1849518276 | Irland | EUR | Bond | - | - | unknown | 0.0005460669 |
FIDELITY NATIONAL INFORMATION | XS2085547433 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005460481 |
BANCO SANTANDER SA | XS2063247915 | Spanien | EUR | Bond | - | - | unknown | 0.0005456569 |
BBG0116XLJ48 DANONE SA 12/25 | FR0014003Q41 | Frankreich | EUR | Bond | - | - | unknown | 0.0005455101 |
SIEMENS FINANCIERINGSMAT | XS2049616894 | Niederlande | EUR | Bond | - | - | unknown | 0.0005454395 |
BNP PARIBAS SA | FR0013476611 | Frankreich | EUR | Bond | - | - | Financial | 0.0005447982 |
TAKEDA PHARMACEUTICAL SR UNSECURED 07/32 1.375 7/32 | XS2197349645 | Japan | EUR | Bond | - | - | unknown | 0.0005446756 |
BBG01135CMR0 BANK OF AMERICA CORP 8/28 | XS2345799089 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005445754 |
BBG0113FMRR6 CAIXABANKSA 5/28 | XS2346253730 | Spanien | EUR | Bond | - | - | unknown | 0.0005444667 |
BBG00ZQRLPT4 BANCO SANTANDER SA SR UNSECURED REGS 03/27 VAR 3/27 | XS2324321285 | Spanien | EUR | Bond | - | - | unknown | 0.0005444341 |
CIE DE SAINT-GOBAIN 10/27 | XS2150054372 | Frankreich | EUR | Bond | - | - | unknown | 0.0005443163 |
BBG00YVDZJ66 UNICREDIT SPA 1/26 | XS2289133758 | Italien | EUR | Bond | - | - | unknown | 0.0005441497 |
BBG00Y709FG7 SOCIETE GENERALE SA 11/30 | FR0014000OZ2 | Frankreich | EUR | Bond | - | - | unknown | 0.0005439178 |
BPCE 9/27 | FR0013534674 | Frankreich | EUR | Bond | - | - | unknown | 0.0005439178 |
ALLIANZ FINANCE BV 07/27 EUR54570 | DE000A2DAHN6 | Deutschland | EUR | Bond | A2 | - | Financial | 0.0005439057 |
ABBVIE INC 11/27 0.750000 11/27 | XS2055646918 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005434787 |
UNICREDIT SPA 7/27 | XS2207976783 | Italien | EUR | Bond | - | - | unknown | 0.0005433568 |
HEIDELBERGCEMENT FINANCE LU 04/26 AN021911 | XS1589806907 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0005432593 |
SIEMENS FINANCIERINGSMAT | XS2049616621 | Niederlande | EUR | Bond | - | - | unknown | 0.0005431895 |
BBG00ZN68T29 VERIZON COMMUNICATIONS 3/32 | XS2320759884 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005424332 |
DAIMLER AG 5/30 | DE000A289XG8 | Deutschland | EUR | Bond | - | - | unknown | 0.0005421774 |
ASSICURAZIONI GENERALI SPA 06/28 EUR52374 | XS1428773763 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0005418309 |
BBG00ZF9B7K6 NTT FINANCE CORP COMPANY GUAR REGS 03/30 0.342 3/30 | XS2305026929 | Japan | EUR | Bond | - | - | unknown | 0.0005414179 |
BBG011H7F6V8 BANCO SANTANDER 6/29 | XS2357417257 | Spanien | EUR | Bond | - | - | unknown | 0.0005413852 |
NATIONWIDE BUILDING SOCIETY 7/25 | XS2207657417 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005413675 |
BBG00ZJX4QL4 DAIMLER AG 3/33 | DE000A3H3JM4 | Deutschland | EUR | Bond | - | - | unknown | 0.0005409812 |
METROPOLITAN LIFE GLOBAL FUNDING I 0.375% 2024-04-09 | XS1979259220 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005394614 |
SIEMENS 02/24 AX308536 | XS1955187692 | Niederlande | EUR | Bond | - | - | unknown | 0.0005391798 |
BBG012JGG1F2 CREDIT AGRICOLE SA 9/29 | FR0014005J14 | Frankreich | EUR | Bond | - | - | unknown | 0.0005384777 |
BBG011BP0BL0 VONOVIA SE 12/29 | DE000A3E5MH6 | Deutschland | EUR | Bond | - | - | unknown | 0.0005384016 |
AXA SA 10/25 | XS1069439740 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005383745 |
BANCO SANTANDER SA 01/27 EUR54560 | XS1548444816 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0005381233 |
BBG012CM78V3 MIZUHO V0.47 09/06/29 9/29 | XS2383901761 | Japan | EUR | Bond | - | - | unknown | 0.0005377223 |
DAIMLER AG | DE000A2TR083 | Deutschland | EUR | Bond | - | - | unknown | 0.000537001 |
BBG011BP0J97 VONOVIA SE 6/33 | DE000A3E5MJ2 | Deutschland | EUR | Bond | - | - | unknown | 0.0005367658 |
PROSUS NV SR UNSECURED REGS 08/28 1.539 8/28 | XS2211183244 | Niederlande | EUR | Bond | - | - | unknown | 0.0005367035 |
ORANGE SA | FR0013444684 | Frankreich | EUR | Bond | - | - | unknown | 0.0005365865 |
ABBVIE INC 11/28 EUR53668 | XS1520907814 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0005361378 |
BBG00Z8JY503 SOCIETE GENERALE SA 2/28 | FR00140022B3 | Frankreich | EUR | Bond | - | - | unknown | 0.0005353148 |
BBG00YRRZB94 SOCIETE GENERALE SA 6/29 | FR0014001GA9 | Frankreich | EUR | Bond | - | - | unknown | 0.0005343257 |
BERTELSMANN SE + CO KGAA 04/28 2 4/28 | XS2149280948 | Deutschland | EUR | Bond | - | - | unknown | 0.0005340026 |
BBG00YVF1LR0 BNP PARIBAS SA 1/30 | FR0014001JT3 | Frankreich | EUR | Bond | - | - | unknown | 0.0005337387 |
BBG00ZHXYGD4 MONDELEZ INTERNATIONAL INC 3/28 | XS2312722916 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000532758 |
NN GROUP NV 01/28 EUR54606 | XS1550988643 | Niederlande | EUR | Bond | Baa2 | - | unknown | 0.0005327415 |
US BANCORP 06/24 AN504367 | XS1623404412 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0005326952 |
FRANCE TELECOM 02/24 | XS1028599287 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0005320462 |
CREDIT SUISSE GROUP AG 9/29 | CH0494734418 | Schweiz | EUR | Bond | - | - | unknown | 0.000531766 |
BANQUE FED CRED MUTUEL 09/25 EUR41396 | XS1288858548 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005315051 |
BBG0128ZWP52 BNP PARIBAS 8/33 | FR00140057U9 | Frankreich | EUR | Bond | - | - | unknown | 0.0005302932 |
AXA SA 07/23 | XS0878743623 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005296579 |
NN GROUP NV 04/24 | XS1054522922 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0005294955 |
UNILEVER NV COMPANY GUAR REGS 03/25 1.25 3/25 | XS2147133495 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005294618 |
CREDIT AGRICOLE ASSURANCES 01/25 EUR35291 | FR0012444750 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0005290607 |
0.625% ASML HLDG. 05/27 | XS2166219720 | Niederlande | EUR | Bond | - | - | unknown | 0.0005280255 |
SIEMENS 09/27 AU269473 | XS1874128033 | Deutschland | EUR | Bond | - | - | unknown | 0.0005278835 |
J.P. MORGAN & CO INC 06/28 AS959233 | XS1835955474 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0005268748 |
BBG0129LWJ29 MUENCHENERRUCKVERSICHERUNGS 5/42 | XS2381261424 | Deutschland | EUR | Bond | - | - | unknown | 0.0005265379 |
SKANDINAVISKA ENSKILDA BANK 10/23 EUR53531 | XS1511589605 | Schweden | EUR | Bond | Baa1 | - | Financial | 0.0005264549 |
ORACLE CORP 07/25 | XS0951216166 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Technology | 0.0005260078 |
BBG012248XD8 BECTON DICKINSON EURO 8/28 | XS2375844144 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005258845 |
IMB CORP | XS2115092012 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0005247716 |
BBG00Z905015 UBS GROUP AG 2/28 | CH0595205524 | Schweiz | EUR | Bond | - | - | unknown | 0.0005246198 |
OP CORPORATE BANK PLC 7/24 | XS2197342129 | Finnland | EUR | Bond | - | - | unknown | 0.000524433 |
UNILEVER NV 07/29 AO477341 | XS1654192274 | Niederlande | EUR | Bond | A1 | - | Consumer, Non-cyclical | 0.000523887 |
UNILEVER NV 02/33 AR104097 | XS1769091296 | Niederlande | EUR | Bond | - | - | unknown | 0.0005233139 |
DAIMLERCHRYSLER NORTH AMER 05/23 EUR52141 | DE000A169NB4 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0005227423 |
BANQUE FED CRED MUTUEL 03/29 AX543891 | FR0013408960 | Frankreich | EUR | Bond | - | - | unknown | 0.0005225537 |
APPLE INC | XS2079716853 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Technology | 0.0005217691 |
UNICREDITO ITALIANO SPA 10/26 EUR53466 | XS1508450688 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0005213943 |
BBG00ZDZRP05 NATWEST GROUP PLC 2/30 | XS2307853098 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005212429 |
UNIBAIL 01/31 AS464353 | FR0013332996 | Frankreich | EUR | Bond | - | - | Financial | 0.0005211431 |
NESTLE 11/29 AP670923 | XS1707075328 | Schweiz | EUR | Bond | - | - | unknown | 0.0005209547 |
APPLE INC | XS2079716937 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005200647 |
VODAFONE GROUP PLC 11/37 AQ049903 | XS1721422902 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005195816 |
MINNESOTA MINING & MFG 11/26 EUR33635 | XS1136406342 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.000519462 |
BBG00Y3XH484 HSBC HOLDINGS PLC 11/26 | XS2251736646 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005194165 |
UNICREDIT SPA | XS2104967695 | Italien | EUR | Bond | - | - | unknown | 0.0005183015 |
RCI BANQUE SA 09/23 EUR53036 | FR0013201597 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0005179346 |
BBG011MCQ3R1 UNIC 0.8 07-29 7/29 | XS2360310044 | Italien | EUR | Bond | - | - | unknown | 0.000517488 |
CHUBB INA HOLDINGS INC 1.550% 2028-03-15 | XS1785795763 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Financial | 0.0005174379 |
ASML HOLDING NV 09/23 | XS0972530561 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0005172785 |
COMMERZBANK AG | DE000CZ45VC5 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0005169976 |
ARKEMA 04/27 AN217881 | FR0013252277 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0005168099 |
DANAHER CORP SR UNSECURED 03/24 1.7 3/24 | XS2147994995 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005168067 |
BNP PARIBAS 02/26 EUR51482 | XS1369250755 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.0005166553 |
BBG00N9JTTQ5 BANKIA SA 2/24 | XS1951220596 | Spanien | EUR | Bond | - | - | unknown | 0.0005163945 |
VODAFONE GROUP PLC 09/25 EUR32776 | XS1109802568 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0005161771 |
DANAHER CORP SR UNSECURED 03/30 2.5 3/30 | XS2147995372 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005158479 |
JOHN DEERE CASH MANAGEME COMPANY GUAR REGS 04/24 1.375 4/24 | XS2150006133 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005156423 |
GOLDMAN SACHS GROUP INC | XS2043678841 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005154709 |
CARREFOUR SA 06/25 EUR36418 | XS1179916017 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0005152271 |
AP MOELLER - MAERSK A/S 1.750% 2026-03-16 | XS1789699607 | Dänemark | EUR | Bond | - | - | unknown | 0.0005152061 |
SODEXO SA 4/25 | XS2163320679 | Frankreich | EUR | Bond | - | - | unknown | 0.0005141579 |
PRICELINE GROUP INC/THE 09/24 EUR32889 | XS1112850125 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0005140564 |
MERLIN PROPERTIES SOCIMI SA 11/26 EUR53553 | XS1512827095 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.000513752 |
ASTRAZENECA PLC 05/28 EUR52172 | XS1411404426 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0005136506 |
ALLIANZ SE SUBORDINATED REGS 07/50 VAR 7/30 | DE000A254TM8 | Deutschland | EUR | Bond | - | - | unknown | 0.0005135636 |
SOCIETE GENERALE 06/23 | XS0867612466 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0005133801 |
VODAFONE GROUP PLC 2.500% 2039-05-24 | XS2002019060 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005133274 |
AUCHAN HOLDING SA 2.375% 2025-04-25 | FR0013416146 | Frankreich | EUR | Bond | - | - | unknown | 0.0005129501 |
NOVARTIS FINANCE SA 08/38 AR170505 | XS1769041606 | Schweiz | EUR | Bond | - | - | unknown | 0.000512496 |
AMERICAN HONDA FINANCE 10/24 | XS2159791990 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0005121676 |
RICHEMONT INTERNATIONAL HOLDIN 5/32 | XS2170736263 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005117618 |
NORDEA BANK 09/27 AP220414 | XS1689535000 | Finnland | EUR | Bond | - | - | unknown | 0.0005113946 |
MIZUHO FINANCIAL GROUP 10/30 | XS2241387096 | Japan | EUR | Bond | - | - | unknown | 0.0005113596 |
AUSTRALIA 4/30 | XS2152883406 | Australien | EUR | Bond | - | - | unknown | 0.0005109579 |
ING BANK 01/28 AQ219020 | XS1730885073 | Niederlande | EUR | Bond | - | - | unknown | 0.000510356 |
BBG00ZV9R918 AXA SA 10/41 | XS2314312179 | Frankreich | EUR | Bond | - | - | unknown | 0.0005098609 |
SUEZ SR UNSECURED REGS 04/27 1.25 4/27 | FR0013505542 | Frankreich | EUR | Bond | - | - | unknown | 0.0005095734 |
CAPGEMINI SE 6/30 | FR0013519071 | Frankreich | EUR | Bond | - | - | unknown | 0.0005092691 |
TELEFONICA EMISONES SAU 09/25 AU366633 | XS1877846110 | Spanien | EUR | Bond | - | - | unknown | 0.0005092063 |
BECTON DICKINSON EURO FINANCE SARL 0.632% 2023-06-04 | XS2002532567 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005076474 |
WALGREENS BOOTS ALLIANCE IN 11/26 EUR33675 | XS1138360166 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.000507474 |
CREDIT AGRICOLE SA (LONDON BRANCH) 1.000% 2029-07-03 | FR0013421815 | Frankreich | EUR | Bond | - | - | unknown | 0.0005073513 |
DEUTSCHE TELEKOM AG 01/28 | XS0875797515 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.000506233 |
BBG00Z962DS8 DNB BANK ASA 2/29 | XS2306517876 | Norwegen | EUR | Bond | - | - | unknown | 0.000505883 |
MERCK FIN SERVICES GMBH | XS2023644540 | Deutschland | EUR | Bond | - | - | unknown | 0.0005057765 |
JOHNSON CONTROLS INTL PLC 09/23 AM661421 | XS1580476759 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0005056855 |
GLAXOSMITHKLINE CAPITAL PLC 5/23 | XS2170609403 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005052768 |
AIB GROUP PLC 1.250% 2024-05-28 | XS2003442436 | Irland | EUR | Bond | Baa2 | - | unknown | 0.0005049478 |
0.625% DANSKE BANK A/S 5/25 | XS2171316859 | Dänemark | EUR | Bond | - | - | unknown | 0.0005047645 |
CNP ASSURANCES 06/27 EUR45013 | FR0013066388 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0005044915 |
TAKEDA PHARMACEUTICAL SR UNSECURED 07/29 1 7/29 | XS2197348597 | Japan | EUR | Bond | - | - | unknown | 0.0005044734 |
BANCO BILBAO VIZCAYA SA 05/25 AS491511 | XS1820037270 | Spanien | EUR | Bond | - | - | unknown | 0.0005043707 |
BARCLAYS PLC 12/23 EUR53811 | XS1531174388 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0005042548 |
CREDIT AGRICOLE SA (LONDON BRANCH) 1.375% 2025-03-13 | XS1790990474 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0005038973 |
BRITISH TELECOMMUNICATIONS 11/24 AQ026465 | XS1720922175 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005034356 |
DANSKE BANK A/S 06/23 EUR52337 | XS1424730973 | Dänemark | EUR | Bond | A1 | - | Financial | 0.0005033731 |
TELEFONICA EMISONES SAU 10/29 EUR33213 | XS1120892507 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0005033417 |
HEIDELBERGCEMENT FINANCE LUXEMBOURG SA 1.125% 2027-12-01 | XS2018637327 | Luxemburg | EUR | Bond | - | - | unknown | 0.0005032451 |
ING BANK 04/23 AN218079 | XS1590823859 | Niederlande | EUR | Bond | Baa2 | - | Financial | 0.0005030422 |
HOLCIM LTD 05/23 EUR52281 | XS1420337633 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0005030155 |
DEUTSCHE TELEKOM AG | XS2024716099 | Deutschland | EUR | Bond | - | - | unknown | 0.0005029901 |
INFINEON TECHNOLOGIES AG 6/26 | XS2194283672 | Deutschland | EUR | Bond | - | - | unknown | 0.0005028587 |
VODAFONE GROUP PLC 08/23 EUR51519 | XS1372838679 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0005017331 |
DEUTSCHE ANNINGTON FINANCE 12/24 EUR53747 | DE000A189ZX0 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0005016365 |
FRANCE TELECOM 09/25 AU388250 | FR0013359197 | Frankreich | EUR | Bond | - | - | unknown | 0.0005014964 |
VODAFONE GROUP PLC 0.900% 2026-11-24 | XS2002017361 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005013853 |
BMW AG 05/26 AS639556 | XS1823246803 | Deutschland | EUR | Bond | - | - | unknown | 0.0005011525 |
ST GOBAIN NEDERLAND BV 03/25 AM754773 | XS1577586321 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0005011293 |
BAXTER INTERNATIONAL INC 0.400% 2024-05-15 | XS1998215393 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0005011202 |
DAIMLER AG | DE000A2YNZV0 | Deutschland | EUR | Bond | - | - | Consumer, Cyclical | 0.0005009576 |
DANONE (GROUPE) 05/24 EUR44484 | FR0013063609 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0005009264 |
BARCLAYS PLC 01/25 AQ825885 | XS1757394322 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0005008732 |
SVENSKA HANDELSBANKEN 03/24 AU271246 | XS1875333178 | Schweden | EUR | Bond | - | - | Financial | 0.0005004143 |
NESTLE 07/25 AO313840 | XS1648298559 | Schweiz | EUR | Bond | - | - | unknown | 0.0005000327 |
ERSTE GROUP BANK AG 5/27 | AT0000A2GH08 | Österreich | EUR | Bond | - | - | unknown | 0.0005000085 |
DANSKE BANK A/S | XS2046595836 | Dänemark | EUR | Bond | - | - | Financial | 0.0004998377 |
BANCO SANTANDER SA 6/27 | XS2194370727 | Spanien | EUR | Bond | - | - | unknown | 0.0004998346 |
BANCO BILBAO VIZCAYA ARGENTARIA SA 1.000% 2026-06-21 | XS2013745703 | Spanien | EUR | Bond | - | - | unknown | 0.0004994723 |
EUROGRID GMBH 11/23 EUR43344 | XS1315101011 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004991873 |
ABN AMRO BANK NV 01/23 EUR47044 | XS1346254573 | Niederlande | EUR | Bond | Baa2 | - | Financial | 0.0004989554 |
SIEMENS FINANCIERINGSMAT | XS1955187932 | Deutschland | EUR | Bond | - | - | unknown | 0.0004982272 |
RCI BANQUE SA 05/26 AS667493 | FR0013334695 | Frankreich | EUR | Bond | - | - | unknown | 0.0004981996 |
NETHERLANDS 5/28 | XS2168285000 | Niederlande | EUR | Bond | - | - | unknown | 0.0004977429 |
KBC GROUP NV 01/24 AW822125 | BE0002631126 | Belgien | EUR | Bond | - | - | unknown | 0.0004977042 |
1,25% SOCIETE GENERALE SA 6/30 | FR0013518057 | Frankreich | EUR | Bond | - | - | unknown | 0.0004975158 |
DEUTSCHE BANK AG 03/25 EUR37309 | DE000DB7XJP9 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0004971439 |
BNP PARIBAS 11/23 AS666030 | XS1823532640 | Frankreich | EUR | Bond | - | - | unknown | 0.0004968009 |
BBG010SM32C8 WESTPAC BANKING CORP 5/31 | XS2342206591 | Australien | EUR | Bond | - | - | unknown | 0.0004965435 |
BUNGE FINANCE EUROPE BV 06/23 EUR52460 | XS1405777316 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004961874 |
SANTAN CONSUMER FINANCE 10/23 AU673539 | XS1888206627 | Spanien | EUR | Bond | - | - | unknown | 0.0004960086 |
MERCK KGAA | XS2218405772 | Deutschland | EUR | Bond | - | - | unknown | 0.0004959169 |
AMGEN INC 02/26 EUR51508 | XS1369278764 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004952458 |
SANTANDER UK GROUP HLDINGS 09/23 EUR53008 | XS1487315860 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004948589 |
CREDIT AGRICOLE SA 12/23 AV923058 | FR0013385515 | Frankreich | EUR | Bond | - | - | unknown | 0.0004943275 |
BBG011F3Z4Z8 SKANDINAVISKA ENSKILDA 6/28 | XS2356049069 | Schweden | EUR | Bond | - | - | unknown | 0.0004940147 |
CAPGEMINI SE 6/25 | FR0013519048 | Frankreich | EUR | Bond | - | - | unknown | 0.0004939942 |
FRESENIUS FINANCE IRELAND PLC 2/27 | XS1554373677 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004937999 |
UNILEVER NV 01/25 AU272082 | XS1873208950 | Niederlande | EUR | Bond | A1 | - | Consumer, Non-cyclical | 0.0004937237 |
SKANDINAVISKA ENSKILDA BANKEN AB 0.500% 2023-03-13 | XS1788951090 | Schweden | EUR | Bond | - | - | unknown | 0.0004936142 |
KBC GROUP NV 10/23 EUR53393 | BE0002266352 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.0004932503 |
VIVENDI SA 0.625% 2025-06-11 | FR0013424868 | Frankreich | EUR | Bond | - | - | unknown | 0.0004929508 |
STANDARD CHARTERED PLC | XS2102360315 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004928808 |
SAMHALLSBYGGNADSBOLAGET SR UNSECURED REGS 08/27 1 8/27 | XS2114871945 | Schweden | EUR | Bond | - | - | unknown | 0.0004926025 |
CITIGROUP INC 05/24 | XS1068874970 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004922784 |
1.85% VERIZON COMMUNICATIONS 5/40 | XS2176561095 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004920317 |
SOCIETE GENERALE 05/23 EUR52244 | XS1418786890 | Frankreich | EUR | Bond | A2 | - | unknown | 0.000491917 |
BANCO DE SABADELL SA | XS2028816028 | Spanien | EUR | Bond | - | - | unknown | 0.0004914967 |
CREDIT AGRICOLE SA (LONDON BRANCH) 0.500% 2024-06-24 | XS2016807864 | Frankreich | EUR | Bond | - | - | unknown | 0.0004914436 |
NYKREDIT REALKREDIT AS 7/25 | DK0009529901 | Dänemark | EUR | Bond | - | - | unknown | 0.0004910909 |
FRESENIUSMEDICAL CARE A 5/30 | XS2178769159 | Deutschland | EUR | Bond | - | - | unknown | 0.0004909247 |
0.375% SAP SE 5/29 | XS2176715667 | Deutschland | EUR | Bond | - | - | unknown | 0.0004904533 |
SOCIETE GENERALE 02/23 AR386656 | FR0013320033 | Frankreich | EUR | Bond | - | - | Financial | 0.000490376 |
CAIXABANK SA 10/24 | XS2055758804 | Spanien | EUR | Bond | - | - | unknown | 0.0004903518 |
CAIXABANK 04/23 AQ710783 | XS1752476538 | Spanien | EUR | Bond | - | - | unknown | 0.000490231 |
BPCE SA 10/23 EUR53206 | FR0013204476 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0004901537 |
BBG012248XL9 BECTON DICKINSON EURO 8/41 | XS2375844656 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004900706 |
VF CORP 09/23 EUR53122 | XS1492446460 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | Consumer, Cyclical | 0.0004900668 |
SKANDINAVISKA ENSKILDA BANKEN | XS2078737215 | Schweden | EUR | Bond | - | - | Financial | 0.0004896272 |
UNITED PARCEL SERVICE INC 11/23 AP935767 | XS1718480327 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Industrial | 0.0004895499 |
SIEMENS FINANCIERINGSMAT 6/24 | XS2182055181 | Niederlande | EUR | Bond | - | - | unknown | 0.0004895209 |
SOCIETE GENERALE SA 9/28 | FR0013536661 | Frankreich | EUR | Bond | - | - | unknown | 0.0004894678 |
0.5% BNP PARIBA 06/26 | FR0013465358 | Frankreich | EUR | Bond | - | - | Financial | 0.0004889461 |
VIER GAS TRANSPORT GMBH 06/25 | XS0942082115 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0004884455 |
0,875% COMMERZBANK 012027 | DE000CZ45VM4 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0004883567 |
BBG00YC45YS3 UNIBAIL RODAMCO WESTFLD 5/27 | FR0014000UC8 | Frankreich | EUR | Bond | - | - | unknown | 0.0004879219 |
BANCO BILBAO VIZCAYA ARGENTARI | XS2079713322 | Spanien | EUR | Bond | - | - | unknown | 0.0004871007 |
KERRY GROUP FINANCIAL SERVICES 9/29 | XS2042667944 | Irland | EUR | Bond | - | - | unknown | 0.0004868688 |
GLAXOSMITHKLINE CAP PLC 06/25 | XS0222383027 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0004861339 |
BBG011KL37J8 ORANGE SAINDUSTRY 6/34 | FR0014004A06 | Frankreich | EUR | Bond | - | - | unknown | 0.0004861104 |
CITIGROUP INC 09/26 EUR32704 | XS1107727007 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0004860309 |
BANQUE FEDERATIVE DU CREDIT MUTUEL | FR0013476553 | Frankreich | EUR | Bond | - | - | Financial | 0.0004859945 |
DEUTSCHE POST AG 12/28 AV923171 | XS1917358621 | Deutschland | EUR | Bond | - | - | unknown | 0.0004859065 |
ROCHE FINANCE EUROPE BV 02/23 EUR51506 | XS1371715118 | Schweiz | EUR | Bond | A1 | - | unknown | 0.0004858188 |
SKANDINAVISKA ENSKILDA BANKEN 2/27 | XS2115094737 | Schweden | EUR | Bond | - | - | Financial | 0.0004857867 |
BBG011979BY0 NESTLE FINANCE INTERNATIONAL L 6/29 | XS2350632472 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004857288 |
ELI LILLY & CO 06/30 EUR38887 | XS1240751229 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0004853012 |
BMW AG 11/24 AV577176 | XS1910245676 | Deutschland | EUR | Bond | - | - | unknown | 0.0004851254 |
COCA COLACO/THE 3/40 | XS2233155345 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004849785 |
BPCE SA SR UNSECURED 02/27 0.5 | FR0013455540 | Frankreich | EUR | Bond | - | - | unknown | 0.0004847964 |
DH EUROPE FINANCE SA 07/25 EUR39685 | XS1255436187 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0004845776 |
SIEMENS FINANCIERINGSMAT 2/26 | XS2118280218 | Niederlande | EUR | Bond | - | - | unknown | 0.0004844486 |
BNP PARIBAS 05/28 AQ076810 | XS1722801708 | Frankreich | EUR | Bond | - | - | unknown | 0.0004839296 |
BBG0135GL7F6 NORDEA BANK ABP 11/28 | XS2403444677 | Finnland | EUR | Bond | - | - | unknown | 0.0004834825 |
BBG00ZHY1TX8 EATON CAPITAL UNLIMITED 3/26 | XS2310747915 | Irland | EUR | Bond | - | - | unknown | 0.0004832119 |
RABOBANK 12/22 AO167384 | XS1642738816 | Niederlande | EUR | Bond | Aa3 | - | unknown | 0.0004827528 |
BBG00Y709383 HOLCIM FINANCE LUX SA 4/31 | XS2261215011 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004825277 |
BBG011KL3799 ORANGE SA 6/26 | FR00140049Z5 | Frankreich | EUR | Bond | - | - | unknown | 0.0004824487 |
DEUTSCHE TELEKOM AG 12/24 AQ253524 | XS1732232340 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004820588 |
BBG00ZDP3WS8 BPCE SA 3/31 | FR00140027U2 | Frankreich | EUR | Bond | - | - | unknown | 0.0004818835 |
RCI BANQUE SA | FR0013476090 | Frankreich | EUR | Bond | - | - | unknown | 0.0004813375 |
BBG011BP05L3 VONOVIA SE 6/27 | DE000A3E5MG8 | Deutschland | EUR | Bond | - | - | unknown | 0.0004811106 |
THERMO FISHER SCIENTIFIC SR UNSECURED 03/28 0.5 3/28 | XS2058556536 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004806876 |
NOVARTIS FINANCE SA 08/30 AR170501 | XS1769041192 | Schweiz | EUR | Bond | - | - | unknown | 0.0004806212 |
BNP PARIBAS SA 9/28 | FR0013532280 | Frankreich | EUR | Bond | - | - | unknown | 0.0004805647 |
BBG0100PWL28 SGS NEDERLAND HOLDING BV 4/27 | XS2332234413 | Niederlande | EUR | Bond | - | - | unknown | 0.0004804632 |
HEIDELBERGCEMENT AG 3/23 | XS1387174375 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004801527 |
BNP PARIBAS | FR0013444759 | Frankreich | EUR | Bond | - | - | unknown | 0.0004800236 |
ABN AMRO BANK NV 11/23 | XS0937858271 | Niederlande | EUR | Bond | A1 | - | Financial | 0.0004795276 |
GOLDMAN SACHS GROUP INC 02/23 | XS0882849507 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0004791292 |
BBG012CDLSZ9 NIBC BANK NV 9/26 | XS2384734542 | Niederlande | EUR | Bond | - | - | unknown | 0.0004787145 |
BBG012CD22N0 LEASEPLANCORPORATION NV 9/26 | XS2384269101 | Niederlande | EUR | Bond | - | - | unknown | 0.0004787097 |
BBG012JJWQX3 ABN AMRO BANK N.V. 9/29 | XS2389343380 | Niederlande | EUR | Bond | - | - | unknown | 0.0004786565 |
BANQUE FEDCRED MUTUEL 10/27 | FR00140003P3 | Frankreich | EUR | Bond | - | - | unknown | 0.0004783908 |
BBG011C6HKM2 JDE PEET'S NV 1/26 | XS2354444023 | Niederlande | EUR | Bond | - | - | unknown | 0.0004782556 |
1 NWG 29 EMTN | XS2387060259 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004779802 |
INFORMA PLC 25 2.125 10/25 | XS2240507801 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004778972 |
BBG01015N7C1 CREDIT AGRICOLE SA 4/28 | FR0014003182 | Frankreich | EUR | Bond | - | - | unknown | 0.0004777918 |
BBG00YRSJBL6 BPCEGP 0.01 01/14/27 1/27 | FR0014001G29 | Frankreich | EUR | Bond | - | - | unknown | 0.0004776131 |
AUCHAN HOLDING SA 7/27 | FR0013524865 | Frankreich | EUR | Bond | - | - | unknown | 0.0004772785 |
J.P. MORGAN & CO INC 02/23 | XS0883614231 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0004768759 |
TELSTRA CORP LTD 09/23 | XS0903136736 | Australien | EUR | Bond | A2 | - | unknown | 0.0004763755 |
BBG010Z1BRT4 AIB GROUPPLC 11/27 | XS2343340852 | Irland | EUR | Bond | - | - | unknown | 0.0004759458 |
STANDARD CHARTERED PLC SUBORDINATED REGS 09/30 VAR 9/30 | XS2183818637 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004755784 |
BBG00ZN68TC8 VERIZON COMMUNICATIONS INC 9/35 | XS2320760114 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004752636 |
BBG012BBH5X1 SVENSKA HANDELSBANKEN AB 9/28 | XS2345317510 | Schweden | EUR | Bond | - | - | unknown | 0.0004752074 |
BBG00Z46SLW2 CAIXABANKSA 2/29 | XS2297549391 | Spanien | EUR | Bond | - | - | unknown | 0.0004748595 |
BBG00YDCRGX3 CREDIT AGRICOLE SA 0.125 09/12/2027 12/27 | FR0014000Y93 | Frankreich | EUR | Bond | - | - | unknown | 0.0004735649 |
NATIONAL GRID GAS FINANCE P 09/24 EUR53137 | XS1493320656 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004733399 |
TELEFONICA EMISONES SAU 10/31 EUR53374 | XS1505554771 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0004725275 |
VIER GAS TRANSPORT GMBH 07/23 | XS0951155869 | Deutschland | EUR | Bond | A3 | - | Energy | 0.0004724144 |
JOHN DEERE CASH MANAGEME COMPANY GUAR REGS 04/32 2.2 4/32 | XS2150006562 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004721575 |
BBG00YGJGSY0 AROUNDTOWN SA 7/26 | XS2273810510 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004719611 |
SOGECAP SA 02/26 EUR34446 | FR0012383982 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0004713017 |
AUTOROUTES PARIS-RHIN-RH 01/33 AP887265 | FR0013295722 | Frankreich | EUR | Bond | - | - | unknown | 0.000471196 |
MASTERCARD INC 12/27 EUR44494 | XS1327028459 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0004705408 |
VODAFONE GROUP PLC 11/29 AQ049869 | XS1721422068 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004703812 |
BBG00Z9622W7 INTESA SANPAOLO SPA 2/26 | XS2304664167 | Italien | EUR | Bond | - | - | unknown | 0.000469827 |
HEIDELBERGCEMENT AG 6/24 | XS1425274484 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004694801 |
GLAXOSMITHKLINE CAP PLC 05/30 AS639825 | XS1822829799 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004693193 |
ST GOBAIN NEDERLAND BV 09/28 AU498889 | XS1881593971 | Frankreich | EUR | Bond | - | - | unknown | 0.0004692643 |
BNP PARIBAS 10/26 EUR51629 | XS1378880253 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0004687951 |
ALLIANZ FINANCE BV 04/31 EUR51957 | DE000A180B80 | Deutschland | EUR | Bond | Aa3 | - | unknown | 0.0004684781 |
RICHEMONT INTERNATIONAL HOLDIN 5/40 | XS2178457425 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004680089 |
DEUTSCHE TELEKOM AG 01/33 | XS0161488498 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004679337 |
UNICREDITSPA | XS2104968404 | Italien | EUR | Bond | - | - | unknown | 0.0004677979 |
ALLIANZ FINANCE BV 01/30 AW568435 | DE000A2RWAY2 | Deutschland | EUR | Bond | - | - | unknown | 0.0004675059 |
FRANCE 4/32 | FR0013506300 | Frankreich | EUR | Bond | - | - | unknown | 0.0004664999 |
LLOYDS TSB BANK PLC 01/25 EUR35289 | XS1167204699 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0004660871 |
CANADIAN IMPERIAL BANK OF COMMERCE 0.375% 2024-05-03 | XS1991125896 | Kanada | EUR | Bond | - | - | unknown | 0.0004660478 |
BBG00YRS70N1 GYCGR 0.125 01/11/28 1/28 | XS2282101539 | Luxemburg | EUR | Bond | - | - | unknown | 0.000465855 |
EVONIK FINANCE BV 09/24 EUR52992 | DE000A185QA5 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004648062 |
SWEDBANK AB 5/25 | XS2167002521 | Schweden | EUR | Bond | - | - | unknown | 0.0004648042 |
BBG00ZN67MG0 BARCLAYS PLC 3/31 | XS2321466133 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004647149 |
TELEFONICA EMIS. SA 5/32 | XS2177442295 | Spanien | EUR | Bond | - | - | unknown | 0.0004643399 |
SMURFIT KAPPA TREASURY | XS2050968333 | Irland | EUR | Bond | - | - | unknown | 0.0004643084 |
CRH SMW FINAN 1.25% NOV26 EMTN 11/26 | XS2168478068 | Irland | EUR | Bond | - | - | unknown | 0.0004637206 |
BNP PARIBAS 01/26 EUR44356 | XS1325645825 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004630338 |
DH EUROPEFINANCE 9/49 | XS2051149552 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004626745 |
NETHERLANDS 5/30 | XS2169281487 | Niederlande | EUR | Bond | - | - | unknown | 0.0004626273 |
OP CORPORATE BANK PLC 8/25 | XS2171253912 | Finnland | EUR | Bond | - | - | unknown | 0.0004623814 |
SWISS RE FINANCE UK 6/52 | XS2181959110 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004623448 |
NETHERLANDS 4/30 | XS2156598281 | Niederlande | EUR | Bond | - | - | unknown | 0.0004622246 |
BBG012W3Y077 PEPSICO INC 10/33 | XS2397367421 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004620068 |
BBG012D90S26 MONDELEZ INTL HLDINGS NE 9/32 | XS2384726282 | Niederlande | EUR | Bond | - | - | unknown | 0.0004609863 |
SIEMENS FINANCIERINGSMAT | XS1955187858 | Deutschland | EUR | Bond | - | - | unknown | 0.0004604934 |
CONTI-GUMMI FINANCE BV 11/23 | XS2178585423 | Niederlande | EUR | Bond | - | - | unknown | 0.0004604675 |
MIZUHO FINANCIAL GROUP INC 0.523% 2024-06-10 | XS2004880832 | Japan | EUR | Bond | - | - | Financial | 0.0004603524 |
DEUTSCHE BANK AG | DE000DL19US6 | Deutschland | EUR | Bond | - | - | unknown | 0.0004601511 |
MCDONALD'S CORP 05/28 EUR52089 | XS1403264291 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004599439 |
BBG012NW5R21 AGCO INTERNATIONAL HOLDI 28 0.8 10/28 | XS2393323071 | Niederlande | EUR | Bond | - | - | unknown | 0.0004598177 |
GENERAL MILLS INC | XS2100788780 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004595056 |
MMS USA FINANCING INC 1.750% 2031-06-13 | FR0013425154 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004592972 |
BNP PARIBAS 11/22 EUR51857 | XS1394103789 | Frankreich | EUR | Bond | Aa3 | - | Financial | 0.00045855 |
SCHNEIDER SA 01/28 AW599729 | FR0013396876 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004585152 |
BAXTER INTERNATIONAL INC 1.300% 2029-05-15 | XS1998215559 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | Consumer, Non-cyclical | 0.000458177 |
THERMO FISHER SCIENTIFIC 3/25 | XS2058556296 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004580372 |
DOW CHEMICAL CO/THE 3/32 | XS2122486066 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004580227 |
ING BANK 01/26 AW534944 | XS1933820372 | Niederlande | EUR | Bond | - | - | unknown | 0.0004574501 |
1.5% BERTELSMANN SE CO KGAA 5/30 | XS2176558620 | Deutschland | EUR | Bond | - | - | unknown | 0.0004573402 |
FRESENIUS MEDICAL CARE AG & CO | XS2084510069 | Deutschland | EUR | Bond | - | - | unknown | 0.000457098 |
BBG012CD7J21 ASBBNK 0.25 09/08/28 9/28 | XS2381560411 | Neuseeland | EUR | Bond | - | - | unknown | 0.0004568384 |
HOLCIM LTD 08/29 AO852710 | XS1672151492 | Schweiz | EUR | Bond | - | - | unknown | 0.0004568202 |
PEPSICO INC 10/50 | XS2242633332 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004550098 |
WESTPAC BANKING CORP 07/28 AT519144 | XS1856797219 | Australien | EUR | Bond | - | - | unknown | 0.0004550027 |
BBG012V81QW8 THERMO FISHER SC FNCE I COMPANY GUAR 10/51 2 10/51 | XS2366415540 | Niederlande | EUR | Bond | - | - | unknown | 0.0004545758 |
INFINEON TECHNOLOGIES AG 6/29 | XS2194283839 | Deutschland | EUR | Bond | - | - | unknown | 0.0004539671 |
PARKER HANNIFIN CORP 03/25 AP971340 | XS1719267855 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004538201 |
EUROGRID GMBH 04/28 EUR51918 | XS1396285279 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0004534218 |
VERIZON COMMUNICATIONS INC 10/29 92343VED | XS1708167652 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004533561 |
SCHNEIDER SA 06/27 AT087256 | FR0013344215 | Frankreich | EUR | Bond | - | - | unknown | 0.0004529315 |
LINDE AG 04/23 | DE000A1R07P5 | Niederlande | EUR | Bond | A2 | - | unknown | 0.0004527744 |
AMERICAN INTL GROUP 06/27 AN667328 | XS1627602201 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004527497 |
GECINA 06/27 AO132367 | FR0013266350 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004527201 |
ITALGAS SPA 01/27 EUR54654 | XS1551917591 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0004524538 |
TALANX AG 12/27 AQ204270 | XS1729882024 | Deutschland | EUR | Bond | - | - | Financial | 0.0004523186 |
ST GOBAIN NEDERLAND BV 06/27 AN805613 | XS1627193359 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004520776 |
BOUYGUES 06/27 EUR53746 | FR0013222494 | Frankreich | EUR | Bond | A3 | - | Industrial | 0.0004519466 |
TELIASONERA AB 10/25 | XS0545428285 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0004518536 |
AMADEUS IT GROUP SA SR UNSECURED REGS 09/28 1.875 9/28 | XS2236363573 | Spanien | EUR | Bond | - | - | unknown | 0.0004516972 |
BBG00YTZYZM7 ABB FINANCE BV 1/30 | XS2286044370 | Niederlande | EUR | Bond | - | - | unknown | 0.0004513751 |
TELEKOM FINANZMANAGEMENT 12/26 EUR53807 | XS1405762805 | Österreich | EUR | Bond | Baa2 | - | unknown | 0.0004513633 |
BANK OF NOVA SCOTIA | XS2049707180 | Kanada | EUR | Bond | - | - | unknown | 0.0004512948 |
KRAFT FOODS INC 03/27 EUR36951 | XS1197270819 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004512581 |
ORANGE SA | FR0013444692 | Frankreich | EUR | Bond | - | - | unknown | 0.0004511393 |
HANNOVER RUECK SE 1.125% 2028-04-18 | XS1808482746 | Deutschland | EUR | Bond | - | - | unknown | 0.0004511139 |
GROUPAMA SA 1/27 | FR0013232444 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0004509026 |
COCA COLA CO/THE | XS1955024986 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004502009 |
FRANCE 4/26 | FR0013507852 | Frankreich | EUR | Bond | - | - | unknown | 0.000450184 |
BBG012D95P63 DXC CAPITAL FUNDING LTD 9/27 | XS2384715244 | Irland | EUR | Bond | - | - | unknown | 0.0004498821 |
UNITED PARCEL SERVICE INC 11/25 911312AV | XS1323463726 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0004498627 |
BBG00Y3X44J6 HSBC HOLDINGS PLC 11/31 | XS2251736992 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004492005 |
AUTOROUTES PARIS-RHIN-RH 01/25 EUR33592 | FR0012300812 | Frankreich | EUR | Bond | A3 | - | Consumer, Non-cyclical | 0.0004489751 |
UNILEVER NV 04/28 EUR52069 | XS1403015156 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0004489751 |
SIGNIFY NV SR UNSECURED REGS 05/24 2 5/24 | XS2128498636 | Niederlande | EUR | Bond | - | - | unknown | 0.0004489323 |
DEUTSCHE TELEKOM AG | XS2089226026 | Deutschland | EUR | Bond | - | - | unknown | 0.0004488434 |
PEPSICO INC 10/32 | XS2242633258 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.00044862 |
GOLDMAN SACHS GROUP INC 09/24 EUR33083 | XS1116263325 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0004483749 |
BANQUE FED CRED MUTUEL 11/26 EUR53537 | XS1512677003 | Frankreich | EUR | Bond | A3 | - | unknown | 0.000448303 |
BBG00ZHXZ0C9 BOOKING HOLDINGS INC 3/25 | XS2308321962 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004482758 |
CNH INDUSTRIAL FINANCE EURO 01/26 AU499049 | XS1823623878 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004481255 |
TELEPERFORMANCE 07/25 AT156584 | FR0013346822 | Frankreich | EUR | Bond | - | - | unknown | 0.0004477366 |
1,25% ORANGE S.A. 7/27 | FR0013506292 | Frankreich | EUR | Bond | - | - | unknown | 0.0004474745 |
NOVARTIS FINANCE SA 08/23 AR170424 | XS1769040111 | Schweiz | EUR | Bond | A1 | - | unknown | 0.000447424 |
WESTPAC BANKING CORP 10/23 AT519140 | XS1856797300 | Australien | EUR | Bond | Aa3 | - | unknown | 0.0004473014 |
UNILEVER NV 02/27 AR103936 | XS1769090991 | Niederlande | EUR | Bond | - | - | unknown | 0.0004472378 |
CITIGROUP INC 1.625% 2028-03-21 | XS1795252672 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004470402 |
SES SA 1.625% 2026-03-22 | XS1796208632 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004460901 |
RELX FINANCE BV 05/26 EUR51719 | XS1384281090 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0004459359 |
BMW AG 01/24 | XS1015217703 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0004458769 |
MCKESSON CORP 11/25 581557BG | XS1567174286 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004454921 |
ACS SERVICIOS COMUNICACIONES Y ENERGIA SL 1.875% 2026-04-20 | XS1799545329 | Spanien | EUR | Bond | - | - | unknown | 0.0004454287 |
SUEZ SA 5/35 | FR0013512449 | Frankreich | EUR | Bond | - | - | unknown | 0.0004453991 |
BBG012F4KNZ8 ESSITY CAPITAL BV 9/29 | XS2386877133 | Niederlande | EUR | Bond | - | - | unknown | 0.0004453801 |
MMS USA FINANCING INC 1.250% 2028-06-13 | FR0013425147 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004452596 |
AUST + NZBANKING GROUP | XS2082818951 | Australien | EUR | Bond | - | - | Financial | 0.0004448532 |
2.875% DEUTSCHE POST AG 12/24 | XS0862952297 | Deutschland | EUR | Bond | A3 | - | unknown | 0.000444787 |
CPI PROPERTY GROUP SA 5/26 | XS2171875839 | Luxemburg | EUR | Bond | Baa2 | - | unknown | 0.0004446018 |
1.382% FERROVIAL EMISIONES SA 5/26 | ES0205032032 | Spanien | EUR | Bond | - | - | unknown | 0.0004445453 |
TRANSURBAN FINANCE CMPNY 09/24 EUR32782 | XS1109744778 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0004443339 |
COMPAGNIE DE SAINT GOBAIN SA 1.125% 2026-03-23 | XS1793349926 | Frankreich | EUR | Bond | - | - | unknown | 0.0004435942 |
ING BANK 02/24 AM441490 | XS1564394796 | Niederlande | EUR | Bond | Baa2 | - | Financial | 0.0004435562 |
PVH CORP 12/27 | XS1734066811 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004434934 |
VIVENDI SA 1.125% 2028-12-11 | FR0013424876 | Frankreich | EUR | Bond | - | - | unknown | 0.0004432941 |
BOUYGUES 01/23 | FR0011332196 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004430447 |
CRH FINANCE LTD 04/23 | XS0909369489 | Irland | EUR | Bond | Baa1 | - | unknown | 0.0004426897 |
FRESENIUS FINANCE IRELAND PLC 1/24 | XS1554373248 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0004426514 |
BPCE SA 1.375% 2026-03-23 | FR0013323664 | Frankreich | EUR | Bond | - | - | unknown | 0.0004425459 |
BBG011PRBDQ0 PROSUS NV SR UNSECURED REGS 07/33 1.985 7/33 | XS2363203089 | Niederlande | EUR | Bond | - | - | unknown | 0.0004425179 |
EURONEXT NV 1.125% 2029-06-12 | XS2009943379 | Niederlande | EUR | Bond | - | - | unknown | 0.0004424656 |
AROUNDTOWN PROPERTY HOLDING 01/28 AQ916432 | XS1761721262 | Deutschland | EUR | Bond | - | - | unknown | 0.0004422839 |
ING GROEP NV FRN + 2.000% 2030-03-22 | XS1796079488 | Niederlande | EUR | Bond | - | - | Financial | 0.0004419161 |
ATOS SE 05/25 AV231751 | FR0013378452 | Frankreich | EUR | Bond | - | - | unknown | 0.0004417597 |
TELSTRA CORP LTD 04/26 EUR51901 | XS1395057430 | Australien | EUR | Bond | A2 | - | unknown | 0.0004415695 |
ENAGAS FINANCIACIONES SAU 02/25 EUR36391 | XS1177459531 | Spanien | EUR | Bond | A3 | - | unknown | 0.0004415061 |
SCHNEIDER SA 12/26 AQ341865 | FR0013302809 | Frankreich | EUR | Bond | - | - | unknown | 0.0004411806 |
DEUTSCHE POST AG 5/29 | XS2177122624 | Deutschland | EUR | Bond | - | - | unknown | 0.0004408636 |
DELPHI AUTOMOTIVE PLC 03/25 EUR37044 | XS1197775692 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0004405466 |
VINCI SA 09/25 AU573176 | FR0013367620 | Frankreich | EUR | Bond | - | - | Industrial | 0.0004402972 |
RECKITT BENCKISER TREASURY SER 5/30 | XS2177013765 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000440272 |
RELX PLC, 0.5% 10MAR2028 3/28 | XS2126161764 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004401707 |
ALLIANZ FINANCE BV 01/26 AW568432 | DE000A2RWAX4 | Deutschland | EUR | Bond | - | - | unknown | 0.0004400436 |
EUTELSAT SA 10/25 AU654267 | FR0013369493 | Frankreich | EUR | Bond | - | - | unknown | 0.0004399971 |
BBG010J1RYL8 COCA COLACO/TH 5/30 | XS2339398971 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004399611 |
HEATHROW FUNDING LTD 02/30 EUR36572 | XS1186176571 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0004398957 |
BECTON DICKINSON EURO FINANCE SARL 1.208% 2026-06-04 | XS2002532724 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004397604 |
1.25% CREDIT MTUEL ARKEA 6/29 | FR0013517307 | Frankreich | EUR | Bond | - | - | unknown | 0.0004395871 |
MAGNA INTERNATIONAL INC 11/23 EUR44229 | XS1323910684 | Kanada | EUR | Bond | A3 | - | unknown | 0.0004395279 |
BBG010Z1FWD6 NORDEA BANK ABP SUBORDINATED REGS 08/31 VAR 8/31 | XS2343459074 | Finnland | EUR | Bond | - | - | unknown | 0.0004394939 |
BNP PARIBAS SA 1.250% 2025-03-19 | XS1793252419 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004392701 |
ASF 01/23 | FR0011394907 | Frankreich | EUR | Bond | A3 | CAC All-Tradable Index | unknown | 0.0004392067 |
KNORR BREMSE AG 06/25 AS979790 | XS1837288494 | Deutschland | EUR | Bond | - | - | unknown | 0.0004391644 |
DANONE (GROUPE) 01/25 EUR35238 | FR0012432912 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004389192 |
DT. POST AG 5/32 | XS2177122897 | Deutschland | EUR | Bond | - | - | unknown | 0.0004388696 |
FRANCE TELECOM 02/27 EUR53557 | FR0013217114 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004386952 |
AMERICAN INTL GROUP 06/23 EUR52390 | XS1405781425 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004384713 |
BBG0106MTLG8 CCEP FINANCE IRELAND DAC 5/41 | XS2337061837 | Irland | EUR | Bond | - | - | unknown | 0.0004383401 |
ITV PCL 09/26 1.375 9/26 | XS2050543839 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004380781 |
IBM CORP 09/24 EUR51599 | XS1375841233 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Technology | 0.0004379259 |
UNIBAIL RODAMCO SE | FR0013405032 | Frankreich | EUR | Bond | - | - | Financial | 0.000437816 |
BBG00Z8W65Y8 LEASEPLANCORPORATION NV 2/26 | XS2305244241 | Niederlande | EUR | Bond | - | - | unknown | 0.0004377913 |
KERRY GROUP FIN SERVICES 09/25 EUR41386 | XS1288849471 | Irland | EUR | Bond | Baa2 | - | unknown | 0.0004376809 |
MICHELIN (C.G.D.E.) 09/25 AU272112 | FR0013357845 | Frankreich | EUR | Bond | - | - | unknown | 0.00043763 |
ING BANK 02/25 AR172074 | XS1771838494 | Niederlande | EUR | Bond | - | - | Financial | 0.0004375835 |
CREDIT AGRICOLE SA 09/24 EUR54588 | XS1550135831 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.0004374102 |
CARREFOUR SA 04/24 EUR52001 | XS1401331753 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004372709 |
BNP PARIBAS | FR0013405537 | Frankreich | EUR | Bond | - | - | unknown | 0.0004369537 |
MOODY'S CORP | XS2010038227 | Vereinigte Staaten von Amerika | EUR | Bond | Caa1 | - | unknown | 0.0004369157 |
SCHNEIDER SA 03/25 EUR37196 | FR0012601367 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004368734 |
DSM NV 09/26 EUR53167 | XS1495373505 | Niederlande | EUR | Bond | A3 | - | unknown | 0.0004368692 |
0,.125% NESTLE FINANCE INTERN. 11/27 | XS2170362672 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004368385 |
DEUTSCHE BANK AG 9/26 | DE000DL19VP0 | Deutschland | EUR | Bond | - | - | unknown | 0.0004367889 |
PPG INDUSTRIES INC 11/25 EUR53577 | XS1405769487 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0004364042 |
FRANCE 5/27 | FR0013511227 | Frankreich | EUR | Bond | - | - | unknown | 0.0004363112 |
BBG01173DG48 ASTRAZENECA PLC SR UNSECURED REGS 06/29 0.375 6/29 | XS2347663507 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004360037 |
ELIA TRANSMISSION BE SR UNSECURED REGS 04/30 0.875 4/30 | BE6321529396 | Belgien | EUR | Bond | - | - | unknown | 0.0004356434 |
LLOYDS BANKING GROUP PLC FRN + 1.750% 2028-09-07 | XS1788982996 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004354151 |
SAP AG 12/24 AV984887 | DE000A2TSTE8 | Deutschland | EUR | Bond | - | - | Technology | 0.0004348656 |
DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/25 1 4/25 | DE000A289NE4 | Deutschland | EUR | Bond | - | - | unknown | 0.0004347895 |
BMW FINANCE NV 09/27 0.375 9/27 | XS2055728054 | Deutschland | EUR | Bond | - | - | unknown | 0.0004343986 |
5.875% TELEFONICA EUROPE 02/13 | XS0162869076 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0004343022 |
BANKIA SA | ES0213307061 | Spanien | EUR | Bond | - | - | unknown | 0.0004342104 |
DANONE SA SR UNSECURED REGS 03/27 0.571 3/27 | FR0013495181 | Frankreich | EUR | Bond | - | - | unknown | 0.0004339315 |
BMW FINANCE NV | XS2102357014 | Deutschland | EUR | Bond | - | - | unknown | 0.0004334602 |
PROSUS NV SR UNSECURED REGS 08/32 2.031 8/32 | XS2211183756 | Niederlande | EUR | Bond | - | - | unknown | 0.0004330169 |
BBG00ZNH5T28 STANDARD CHARTERED PLC SUBORDINATED REGS 09/31 VAR 9/31 | XS2319954710 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004329734 |
VIVENDI UNIVERSAL 09/24 AP096401 | FR0013282571 | Frankreich | EUR | Bond | - | - | unknown | 0.0004329677 |
BMW AG 04/24 EUR51921 | XS1396261338 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0004329381 |
ASTRAZENECA PLC 05/24 EUR52174 | XS1411404855 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0004329043 |
NOVARTIS FINANCE SA 11/26 EUR33564 | XS1134729794 | Schweiz | EUR | Bond | Aa3 | - | unknown | 0.0004326611 |
CREDIT MUTUEL ARKEA 03/31 AX498875 | FR0013407418 | Frankreich | EUR | Bond | - | - | Financial | 0.0004326205 |
SANOFI-AVENTIS 04/24 EUR51821 | FR0013143997 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0004318983 |
HARLEY-DAVIDSON FINANCIAL SERV | XS2075185228 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Cyclical | 0.0004317208 |
DANSKE BANK A/S 11/22 AQ125206 | DK0030407986 | Dänemark | EUR | Bond | - | - | unknown | 0.0004316888 |
ST GOBAIN NEDERLAND BV 03/24 AX543403 | XS1962554785 | Frankreich | EUR | Bond | - | - | unknown | 0.0004312347 |
DS SMITH PLC 9/26 | XS2051777873 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004312178 |
PRICELINE GROUP INC/THE 11/22 EUR44422 | XS1325825211 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004310698 |
MCDONALD'S CORP 01/24 AQ125280 | XS1725630740 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.00043085 |
SPAREBANKEN ROGALAND 03/24 AX729193 | XS1967582831 | Norwegen | EUR | Bond | - | - | unknown | 0.0004307866 |
SODEXO SA 4/29 | XS2163333656 | Frankreich | EUR | Bond | - | - | unknown | 0.0004307189 |
GERMANY 10/27 | XS2152329053 | Deutschland | EUR | Bond | - | - | unknown | 0.0004305358 |
BANKINTER SA 0.875% 2026-07-08 | ES0213679HN2 | Spanien | EUR | Bond | - | - | unknown | 0.0004305034 |
FRANCE TELECOM 09/23 AM714680 | FR0013241536 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004303978 |
ALLIANZ FINANCE BV 03/28 | DE000A1HG1K6 | Deutschland | EUR | Bond | Aa3 | - | unknown | 0.0004302764 |
MERCK FIN SERVICES GMBH | XS2023644201 | Deutschland | EUR | Bond | - | - | unknown | 0.0004299582 |
BRITISH TELECOMMUNICATIONS PLC 9/29 | XS2051494495 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000429844 |
JCDECAUX SA 06/23 EUR52340 | FR0013179553 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004298018 |
SVENSKA HANDELSBANKEN 03/23 AR464217 | XS1782803503 | Schweden | EUR | Bond | - | - | Financial | 0.0004297764 |
SOLVAY SA 12/22 EUR44692 | BE6282459609 | Belgien | EUR | Bond | Baa2 | - | unknown | 0.0004294256 |
KLEPIERRE SA 04/23 EUR38146 | FR0012674661 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004293453 |
INFINEON TECHNOLOGIES AG 6/23 | XS2194282948 | Deutschland | EUR | Bond | - | - | unknown | 0.0004291339 |
PUBLICIS GROUPE 11/23 EUR53574 | FR0013217346 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0004287746 |
0,395% DANONE SA 6/29 | FR0013517026 | Frankreich | EUR | Bond | - | - | unknown | 0.0004282167 |
NATIONWIDE BUILDING SOCIETY 03/25 EUR36921 | XS1196797614 | Großbritannien (UK) | EUR | Bond | Aa3 | - | unknown | 0.0004279185 |
COMMONWEALTH BANK OF AUST 10/24 AP286447 | XS1692332684 | Australien | EUR | Bond | Baa1 | - | Financial | 0.000427794 |
SIEMENS FINANCIERINGSMAATSCHAPPIJ 2/32 | XS2118273601 | Niederlande | EUR | Bond | - | - | unknown | 0.0004277517 |
BANCO BILBAO VIZCAYA ARGENTARI 10/24 | XS2058729653 | Spanien | EUR | Bond | - | - | unknown | 0.0004277348 |
SVENSKA HANDELSBANKEN AB 0.125% 2024-06-18 | XS2013536029 | Schweden | EUR | Bond | - | - | unknown | 0.0004273924 |
BMW AG 07/24 EUR54548 | XS1548436473 | Deutschland | EUR | Bond | A1 | - | unknown | 0.00042737 |
BBG0113FXZJ5 AMERICAN TOWER CORP 1/27 | XS2346206902 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004272386 |
0.25% LINDE FINANCE BV 5/27 | XS2177021271 | Niederlande | EUR | Bond | - | - | unknown | 0.0004271134 |
RAIFFEISENBANK INTL 9/26 | XS2055627538 | Österreich | EUR | Bond | - | - | Financial | 0.0004270754 |
AROUNDTOWN SA | XS2023872174 | Deutschland | EUR | Bond | - | - | unknown | 0.0004268641 |
MERCK FINSERVICES GMBH | XS2102916793 | Deutschland | EUR | Bond | - | - | unknown | 0.0004268302 |
SOCIETE GENERALE 01/23 AP934109 | XS1718306050 | Frankreich | EUR | Bond | - | - | unknown | 0.0004267795 |
BBG011N1V9Y7 VINCI SA 1/32 | FR0014004FR9 | Frankreich | EUR | Bond | - | - | unknown | 0.0004263103 |
KERING SA 5/23 | FR0013512381 | Frankreich | EUR | Bond | - | - | unknown | 0.0004262385 |
RAIFFEISENBANK INTL | XS2106056653 | Österreich | EUR | Bond | - | - | unknown | 0.0004262089 |
0.125% SAP SE 5/26 | XS2176715584 | Deutschland | EUR | Bond | - | - | unknown | 0.0004260863 |
BBG012NV8PC3 LINDE PLC SR UNSECURED REGS 09/51 1 9/51 | XS2391865305 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004257862 |
0% NESTLE FINANCE INTERNAT. 11/24 | XS2170362326 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004256805 |
BBG01135DLX4 UNIBAIL-RODAMCO-WESTFIELD SE 10/28 | FR0014003MJ4 | Frankreich | EUR | Bond | - | - | unknown | 0.0004254692 |
GOLDMAN SACHS GROUP INC 2.000% 2028-03-22 | XS1796209010 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004254423 |
ING GROEPNV | XS2079079799 | Niederlande | EUR | Bond | - | - | unknown | 0.0004253212 |
SCHNEIDER ELECTRIC SE SR UNSECURED REGS 03/29 0.25 3/29 | FR0013494168 | Frankreich | EUR | Bond | - | - | unknown | 0.000425224 |
DASSAULT SYSTEMES SE 9/24 | FR0013444536 | Frankreich | EUR | Bond | - | - | unknown | 0.0004251226 |
BRITISH TELECOMMUNICATIONS PLC 9/25 | XS2051494222 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000424945 |
THERMO FISHER SCIENTIFIC 07/29 883556BV | XS1651071950 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004249181 |
VOLVO TREASURY AB 2/23 | XS2115085230 | Schweden | EUR | Bond | - | - | unknown | 0.0004246618 |
SNAM SPA 5/24 | XS2051660335 | Italien | EUR | Bond | - | - | unknown | 0.0004246365 |
WPP FINANCE SA 09/26 EUR32862 | XS1112013666 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0004242517 |
BBG0113FTGF6 SBB TREASURY OYJ 11/29 | XS2346224806 | Finnland | EUR | Bond | - | - | unknown | 0.0004237401 |
VERIZON COMMUNICATIONS SR UNSECURED 03/32 0.875 3/32 | XS2052320954 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004237192 |
CPI PROPERTY GROUP SA 04/27 ACI1G7W13 | XS2069407786 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0004236276 |
ROYAL BANK OF SCOTLAN 1.05% 15/11/25 EUR | XS2080205367 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004235909 |
BBG011FNVK64 TERNA SPA 6/29 | XS2357205587 | Italien | EUR | Bond | - | - | unknown | 0.0004231444 |
COMMERZBANK AG 9/27 | DE000CZ45V82 | Deutschland | EUR | Bond | - | - | unknown | 0.0004231021 |
BBG0136QSC92 BOUYGUES 30 0.5 2/30 | FR0014006CS9 | Frankreich | EUR | Bond | - | - | unknown | 0.0004229499 |
BBG0136NPVB7 BANCO SANTANDER SA 11/31 | XS2404651163 | Spanien | EUR | Bond | - | - | unknown | 0.0004227597 |
BBG012NV8P42 LINDE 0.0 09-26 9/26 | XS2391860843 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004226667 |
HEIDELBERGCEMENT FINANCE LUXEMBOURG SA 1.750% 2028-04-24 | XS1810653540 | Deutschland | EUR | Bond | - | - | unknown | 0.0004225221 |
BBG00Y4N8FQ0 CAIXABANK SA 11/26 | XS2258971071 | Spanien | EUR | Bond | - | - | unknown | 0.0004222018 |
BNP PARIBAS SA 10/27 | FR00140005J1 | Frankreich | EUR | Bond | - | - | unknown | 0.0004221806 |
KBC GROUP NV | BE0002664457 | Belgien | EUR | Bond | - | - | unknown | 0.0004221045 |
HANNOVER RE 10/29 ACI1FY8T1 | XS2063350925 | Deutschland | EUR | Bond | - | - | Financial | 0.0004220919 |
BBG00Z8W5R99 NYKREDIT REALKREDIT AS 1/28 | DK0030484548 | Dänemark | EUR | Bond | - | - | unknown | 0.000421605 |
LLOYDS TSB BANK PLC 09/27 AP029185 | XS1681050610 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004215448 |
AHOLD NV (KONINKLIJKE) 09/24 AP115430 | XS1685798370 | Niederlande | EUR | Bond | - | - | unknown | 0.0004214842 |
PROCTER & GAMBLE CO 10/28 AV231688 | XS1900752814 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004214781 |
KBC GROUP NV 9/26 | BE0002728096 | Belgien | EUR | Bond | - | - | unknown | 0.0004212549 |
RCI BANQUE SA 04/23 AX895474 | FR0013412699 | Frankreich | EUR | Bond | - | - | unknown | 0.0004212506 |
RELX FINANCE BV 3/24 | XS2126161681 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004212021 |
BBG00ZHPJ4X3 SEVFP 0 06/09/26 EMTN 6/26 | FR0014002C30 | Frankreich | EUR | Bond | - | - | unknown | 0.0004210055 |
BBG011H5PD73 BANQUE FEDCRED 6/28 | FR0014004750 | Frankreich | EUR | Bond | - | - | unknown | 0.0004208787 |
BBG011FCNJX0 BANKINTERSA 12/32 | ES0213679OF4 | Spanien | EUR | Bond | - | - | unknown | 0.0004208196 |
SODEXHO SA 06/26 | XS1080163964 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0004205937 |
KONINKLIJKE KPN NV 12/32 | XS2229470146 | Niederlande | EUR | Bond | - | - | unknown | 0.000420511 |
BBG012QR6YD1 CREDIT AGRICOLE ASSRNCES 10/31 | FR0014005RZ4 | Frankreich | EUR | Bond | - | - | unknown | 0.0004202701 |
BBG00ZHXZ0H4 BOOKING HOLDING INC 3/28 | XS2308322002 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000420191 |
BBG010Z1XF70 EUROFINS SCIENTIFIC SE SR UNSECURED REGS 05/31 0.875 5/31 | XS2343114687 | Luxemburg | EUR | Bond | - | - | unknown | 0.000420139 |
ABB FINANCE BV 05/24 AN529935 | XS1613121422 | Schweiz | EUR | Bond | A2 | - | Industrial | 0.0004197144 |
BBG013FMWXL6 ING GROEPNV 11/32 | XS2407529309 | Niederlande | EUR | Bond | - | - | unknown | 0.0004197037 |
BE 8/26 | BE6315719490 | Belgien | EUR | Bond | - | - | unknown | 0.0004192683 |
BBG011WQ4PC0 ALSTOM SA 7/30 | FR0014004R72 | Frankreich | EUR | Bond | - | - | unknown | 0.0004192556 |
JOHN DEERE CASH MANAGEMENT SA 1.650% 2039-06-13 | XS2010331101 | Luxemburg | EUR | Bond | - | - | unknown | 0.0004186753 |
BBG012F416K2 NWIDE 0.25 09/14/28 EMTN 9/28 | XS2385790667 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000418127 |
BBG0105TCL54 FEDEX CORP 5/33 | XS2337253319 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004178665 |
BMW AG 01/28 AQ597655 | XS1747444831 | Deutschland | EUR | Bond | - | - | unknown | 0.0004178396 |
BBG011C6HKP9 JDE PEET S NV COMPANY GUAR REGS 01/29 0.5 1/29 | XS2354569407 | Niederlande | EUR | Bond | - | - | unknown | 0.0004166138 |
BBG00Y47NKZ7 ERSTE GROUP BANK AG SR UNSECURED REGS 11/28 VAR 11/28 | AT0000A2KW37 | Österreich | EUR | Bond | - | - | unknown | 0.0004159713 |
BBG013CM0VJ1 KONINKLIJKE KPN NV 11/33 | XS2406890066 | Niederlande | EUR | Bond | - | - | unknown | 0.000415798 |
BBG00ZMWVX64 CADENT FINANCE PLC 3/30 | XS2320438653 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000415762 |
FRANCE 4/30 | FR0013506821 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004154218 |
ASML HOLDING NV 2/30 | XS2010032378 | Niederlande | EUR | Bond | - | - | unknown | 0.0004144829 |
BBG00YTZZQJ0 BANQUE FEDERATIVE DU CREDIT MUTUEL 7/28 | FR0014001I68 | Frankreich | EUR | Bond | - | - | unknown | 0.000414458 |
TELIASONERA AB 02/34 AX185611 | XS1953240261 | Schweden | EUR | Bond | - | - | unknown | 0.0004142878 |
MONDELEZ INTERNATIONAL HOLDING 9/29 | XS2235987224 | Niederlande | EUR | Bond | - | - | unknown | 0.0004128454 |
THERMO FISHER SCIENTIFIC 01/26 883556BU | XS1651071877 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004127646 |
SOLVAY SA 12/27 EUR44693 | BE6282460615 | Belgien | EUR | Bond | Baa2 | - | unknown | 0.000412132 |
RCI BANQUE SA 03/24 AM692785 | FR0013241361 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0004121202 |
BRISTOL-MYERS SQUIBB CO 05/35 EUR38465 | XS1226748512 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Consumer, Non-cyclical | 0.000411882 |
HEATHROW FUNDING LTD 03/34 AX520447 | XS1960589155 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004116145 |
BANK OF AMERICA CORP 03/25 EUR37731 | XS1209863254 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004103585 |
SIMON INTERNATIONAL FINANCE 11/22 EUR43906 | XS1232098001 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0004103136 |
BBG00YRRZH19 ALSTOM SA 1/29 | FR0014001EW8 | Frankreich | EUR | Bond | - | - | unknown | 0.0004098972 |
THERMO FISHER SCIENTIFIC 07/37 883556BW | XS1651072099 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004098501 |
TELEFONICA EMISONES SAU 10/28 EUR54623 | XS1550951138 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0004097263 |
BBG00Z3T4T25 ESSITY AB 2/31 | XS2297177664 | Schweden | EUR | Bond | - | - | unknown | 0.0004087897 |
BBG00Z46WK40 PROLOGIS EURO FINANCE 2/32 | XS2296204444 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004082614 |
CREDIT AGRICOLE ASSURANCES 10/25 EUR33214 | FR0012222297 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0004076612 |
GOLDMAN SACHS GROUP INC 06/26 | XS1074144871 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0004061268 |
BMW AG 04/25 AN021814 | XS1589881785 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0004059154 |
DAIMLER AG | DE000A2YNZX6 | Deutschland | EUR | Bond | - | - | unknown | 0.0004051893 |
LLOYDS BKCORP MKTS | XS2109394077 | Großbritannien (UK) | EUR | Bond | - | - | Financial | 0.0004037442 |
2.375% WPP FINANCE SA 5/27 | XS2176562812 | Frankreich | EUR | Bond | - | - | unknown | 0.0004034403 |
VERIZON COMMUNICATIONS INC 03/24 EUR33946 | XS1146282634 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0004030946 |
HEATHROW FDG 1.50% TO 10/25 10/25 | XS2242979719 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000402971 |
GERMANY 10/24 | XS2154336338 | Deutschland | EUR | Bond | - | - | unknown | 0.0004028005 |
BBG00ZXLTQD6 MIZUHO FINANCIAL GROUP 4/33 | XS2329144591 | Japan | EUR | Bond | - | - | unknown | 0.0004027035 |
UNIONE DIBANCHE ITALIAN | XS2067213913 | Italien | EUR | Bond | - | - | unknown | 0.0004022637 |
"LLOYDS BANKING GROUP PLC" 11/23 | XS1517174626 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0004020022 |
FCC AQUALIA SA 06/27 AN684741 | XS1627343186 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0004016034 |
INFINEON TECHNOLOGIES AG 6/32 | XS2194192527 | Deutschland | EUR | Bond | - | - | unknown | 0.0004015055 |
ABN AMRO BANK NV 0.500% 2026-04-15 | XS1982037696 | Niederlande | EUR | Bond | - | - | Financial | 0.0004009189 |
MARSH & MCLENNAN COS INC 03/30 AX683321 | XS1963837197 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0004008969 |
BPCE SA 04/26 EUR51959 | FR0013155009 | Frankreich | EUR | Bond | Baa3 | - | Financial | 0.0004005346 |
COMPASS GROUP INTERNATIONAL 07/24 AN924596 | XS1637093508 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0004000319 |
NORDEA BANK ABP 0.375% 2026-05-28 | XS2003499386 | Finnland | EUR | Bond | - | - | unknown | 0.0003999337 |
LINDE FINANCE BV 04/28 EUR51934 | XS1397134609 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0003995648 |
SNAM SPA 6/30 | XS2190256706 | Italien | EUR | Bond | - | - | unknown | 0.0003990702 |
AIR PRODUCTS + CHEMICALS 5/28 | XS2166122304 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003990467 |
BBG012YC4V07 DELL BANKINTERNATIONAL 10/26 | XS2400445289 | Irland | EUR | Bond | - | - | unknown | 0.0003981158 |
EVONIK INDUSTRIES AG 01/23 EUR35833 | XS1170787797 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003975473 |
FRESENIUS FINANCE IRELAND P 01/32 EUR54677 | XS1554373834 | Irland | EUR | Bond | Baa3 | - | unknown | 0.0003971606 |
TERNA SPA 10/28 EUR53348 | XS1503131713 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0003970474 |
UNILEVER NV 02/23 AM440739 | XS1566100977 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0003967427 |
THERMO FISHER SCIENTIFIC 04/25 EUR33776 | XS1142279782 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003966523 |
SWISS RE FINANCE LUX 04/30 AX683405 | XS1963116964 | Schweiz | EUR | Bond | - | - | unknown | 0.0003966398 |
BMW AG 01/23 | XS0877622034 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0003964676 |
SUEZ ENVIRONNEMENT SA 09/32 AP136794 | FR0013283140 | Frankreich | EUR | Bond | - | - | unknown | 0.0003963064 |
COCA-COLA HBC FIN PLC 11/24 EUR51619 | XS1377682676 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0003962074 |
WAL-MART STORES 04/26 | XS1054534422 | Vereinigte Staaten von Amerika | EUR | Bond | Aa2 | - | unknown | 0.0003959004 |
COCA-COLA CO 3/33 | XS2233155261 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003956606 |
ARCHER-DANIELS-MIDLAND 09/25 AU389342 | XS1877836079 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003953583 |
BBG012D91TX9 EJRAIL 1.104 09/15/39 EMTN 9/39 | XS2385121749 | Japan | EUR | Bond | - | - | unknown | 0.0003947393 |
SANTANDER UK GROUP HLDGS SR UNSECURED REGS 02/25 VAR 2/25 | XS2126058168 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003945711 |
GB 06/24 | XS1076781589 | Niederlande | EUR | Bond | Ba1 | - | unknown | 0.0003942413 |
BPCE SA 07/24 | FR0011689579 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003941072 |
BBG00ZHMX1H8 AUSNET SERVICES HOLDINGS 03/81 1 | XS2308313860 | Australien | EUR | Bond | - | - | unknown | 0.0003936145 |
CONTINENTAL AG 8/26 | XS2178586157 | Deutschland | EUR | Bond | - | - | unknown | 0.0003933673 |
PVH CORP 7/24 | XS1435229460 | Vereinigte Staaten von Amerika | EUR | Bond | Ba2 | - | unknown | 0.0003931942 |
WPP FINANCE DEUTSCHLAND GMB 03/30 EUR37389 | XS1205548164 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003931181 |
COMPASS GROUP FINANCE NV 09/28 AU292257 | XS1876069185 | Niederlande | EUR | Bond | - | - | unknown | 0.0003927015 |
SIMON INTERNATIONAL FINANCE SC | XS2310797696 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003926803 |
UNIBAIL RODAMCO WESTFLD 6/32 | FR0013521267 | Frankreich | EUR | Bond | - | - | unknown | 0.0003924189 |
BBG00YRRXST7 SWEDBANK AB 1/28 | XS2282210231 | Schweden | EUR | Bond | - | - | unknown | 0.0003924087 |
PROLOGIS EURO FINANCE | XS2049582625 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003920877 |
ASF 06/28 AT238978 | FR0013346137 | Frankreich | EUR | Bond | - | - | unknown | 0.0003918464 |
ENAGAS FINANCIACIONES SAU 05/28 EUR52083 | XS1403388694 | Spanien | EUR | Bond | A3 | - | unknown | 0.0003915675 |
AUSTRIA 4/28 | XS2151059206 | Österreich | EUR | Bond | - | - | unknown | 0.0003913932 |
ITALGAS SPA 01/29 AP096337 | XS1685542497 | Italien | EUR | Bond | - | - | unknown | 0.0003913682 |
SUEZ ENVIRONNEMENT SA 04/29 AN022172 | FR0013248523 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003908827 |
BBG0105TSGP6 FOMENTO ECONOMICO MEX SR UNSECURED 05/28 0.5 5/28 | XS2337285519 | Mexiko | EUR | Bond | - | - | unknown | 0.0003908199 |
BMW AG 08/25 AU216212 | XS1873143645 | Deutschland | EUR | Bond | - | - | unknown | 0.0003905878 |
3,875% HARLEY-DAVIDSON FINANCIAL SERV 5/23 | XS2154335363 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003904983 |
EUREKO BV 04/23 | XS0911388675 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0003903102 |
SWISS RE ADMIN RE LTD 05/23 EUR52297 | XS1421827269 | Schweiz | EUR | Bond | A3 | - | unknown | 0.000390234 |
FRANCE TELECOM 01/24 | FR0011560077 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003893429 |
GECINA 01/28 AP220415 | FR0013284205 | Frankreich | EUR | Bond | - | - | unknown | 0.0003893248 |
BBG0105TCFT1 FEDEX CORP 5/29 | XS2337252931 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003890458 |
ELI LILLY & CO 06/26 EUR38886 | XS1240751062 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003887415 |
MAGNA INTERNATIONAL INC 09/27 AP061212 | XS1689185426 | Kanada | EUR | Bond | A3 | - | Consumer, Cyclical | 0.0003887088 |
DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/30 1.5 4/30 | DE000A289NF1 | Deutschland | EUR | Bond | - | - | unknown | 0.0003886473 |
HSBC FRANCE 09/28 AU271020 | FR0013358124 | Frankreich | EUR | Bond | - | - | unknown | 0.0003884733 |
UNION BANK OF NORWAY 03/23 EUR51510 | XS1371969483 | Norwegen | EUR | Bond | Aa2 | - | unknown | 0.0003882672 |
BPCE SA 01/24 | FR0011390921 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003880132 |
TELSTRA CORP LTD 03/29 AX729250 | XS1966038249 | Australien | EUR | Bond | - | - | Communications | 0.0003879009 |
SWEDBANK AB 10/24 ACI1FZ4K1 | XS2063261155 | Schweden | EUR | Bond | - | - | unknown | 0.0003878693 |
BMW FINANCE NV 0.750% 2026-07-13 | XS2010447238 | Niederlande | EUR | Bond | - | - | unknown | 0.0003877566 |
CNP ASSURANCES 6/51 | FR0013521630 | Frankreich | EUR | Bond | - | - | unknown | 0.0003875748 |
ICADE 06/26 EUR52372 | FR0013181906 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0003870966 |
DEUTSCHE POST AG 5/26 | XS2177122541 | Deutschland | EUR | Bond | - | - | unknown | 0.000387046 |
BARCLAYS PLC | XS2082324364 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003869243 |
BPCE SA 01/28 AQ869160 | FR0013312501 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003868937 |
KLEPIERRE SA 12/32 AQ219186 | FR0013300605 | Frankreich | EUR | Bond | - | - | unknown | 0.0003868067 |
CRH FINANCE DAC 10/28 EUR53391 | XS1505896735 | Irland | EUR | Bond | Baa1 | - | unknown | 0.0003867089 |
BARCLAYS PLC 09/23 AU234321 | XS1873982745 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003866268 |
SANOFI-AVENTIS 04/28 EUR51820 | FR0013144003 | Frankreich | EUR | Bond | A1 | - | unknown | 0.000386622 |
BBG012F01GM6 SANUK V0.603 09/13/29 EMTN 9/29 | XS2385791046 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003866162 |
LUXOTTICA GROUP SPA 02/24 | XS1030851791 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003865567 |
EDENRED 6/29 | FR0013518537 | Frankreich | EUR | Bond | - | - | unknown | 0.0003865459 |
DANSKE BANK A/S 06/24 AX751539 | XS1967697738 | Dänemark | EUR | Bond | A3 | - | Financial | 0.0003865201 |
WESTPAC BANKING CORP 09/27 AO918044 | XS1676933853 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0003864592 |
ILLINOIS TOOL WORKS INC 05/34 | XS1028954870 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003861866 |
SYDNEY AIRPORT FINANCE 04/24 | XS1057783174 | Australien | EUR | Bond | Baa2 | - | unknown | 0.0003860821 |
COCA-COLA CO 09/26 EUR32865 | XS1112678989 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003859614 |
SUEZ ENVIRONNEMENT SA 09/25 EUR41384 | FR0012949923 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003855676 |
DNB BANK ASA 0.250% 2024-04-09 | XS1979262448 | Norwegen | EUR | Bond | - | - | Financial | 0.0003854064 |
EUROGRID GMBH 06/25 EUR39064 | XS1243251375 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003851981 |
COFIROUTE 10/27 AP418040 | FR0013286788 | Frankreich | EUR | Bond | - | - | unknown | 0.0003851401 |
BBG011979CH7 NESTLE FINANCE INTERNATIONAL L 6/41 | XS2350744434 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003850488 |
SANOFI-AVENTIS 09/25 EUR41724 | FR0012969038 | Frankreich | EUR | Bond | A1 | - | unknown | 0.0003846039 |
SIGNIFY NV 05/27 2.375 5/27 | XS2128499105 | Niederlande | EUR | Bond | - | - | unknown | 0.0003842555 |
MONDI FINANCE PLC 1.625% 2026-04-27 | XS1813593313 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003842343 |
AKZO NOBEL NV 11/24 EUR33562 | XS1134519120 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003840061 |
PEPSICO INC 03/31 AX613783 | XS1963555617 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0003835496 |
SUEZ ENVIRONNEMENT SA 05/28 EUR52222 | FR0013173432 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003835423 |
NYKREDIT REALKREDIT A/S | DK0009525917 | Dänemark | EUR | Bond | - | - | unknown | 0.000382869 |
BBG012XFS5H4 WESFARMERSLTD 10/33 | XS2399154181 | Australien | EUR | Bond | - | - | unknown | 0.000382538 |
IMERYS SA 12/24 EUR34223 | FR0012370872 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.000382517 |
VONOVIA FINANCE BV 1.500% 2026-03-22 | DE000A19X8A4 | Deutschland | EUR | Bond | - | - | unknown | 0.0003823431 |
CNH INDUSTRIAL FINANCE EUROPE SA 9/25 | XS1678966935 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003822924 |
COCA COLA HBC FINANCE BV 1.000% 2027-05-14 | XS1995781546 | Schweiz | EUR | Bond | - | - | unknown | 0.000381879 |
INMOBILIARIA COLONIAL SOCIM 11/25 AQ124824 | XS1725677543 | Spanien | EUR | Bond | - | - | unknown | 0.0003818359 |
JCDECAUX SA 10/24 | FR0013509627 | Frankreich | EUR | Bond | - | - | unknown | 0.0003818069 |
DEUTSCHE BANK AG 01/28 AQ688740 | DE000DL19T26 | Deutschland | EUR | Bond | - | - | unknown | 0.0003817489 |
UBS GROUP FUNDING 03/24 EUR51567 | CH0314209351 | Schweiz | EUR | Bond | A3 | - | unknown | 0.0003815786 |
SANOFI-AVENTIS 03/29 AX664696 | FR0013409844 | Frankreich | EUR | Bond | - | - | unknown | 0.000381441 |
AIR LIQUIDE 03/27 AM692763 | FR0013241346 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003814265 |
NATIONAL AUSTRALIA BANK LTD 08/23 AU191713 | XS1872032369 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0003811421 |
ASF 04/26 AN150215 | FR0013251170 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003811185 |
KLEPIERRE SA 11/24 EUR33536 | FR0012283653 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003810388 |
1.113% EUROGRID GMBH 5/32 | XS2171713006 | Deutschland | EUR | Bond | - | - | unknown | 0.0003810243 |
BBG00YZ28JL9 CPI PROPERTY GROUP SA SR UNSECURED REGS 01/31 1.5 1/31 | XS2290544068 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003809995 |
SIEMENS FINANCIERINGSMAT | XS1955187775 | Deutschland | EUR | Bond | - | - | unknown | 0.0003809555 |
KOJAMO OYJ 06/24 AN791280 | XS1628004779 | Finnland | EUR | Bond | Baa2 | - | unknown | 0.000380866 |
ALLIANZ FINANCE BV 12/27 AQ219064 | DE000A19S4V6 | Deutschland | EUR | Bond | - | - | unknown | 0.0003808576 |
DANONE (GROUPE) 06/23 | FR0011527241 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003804229 |
ARKEMA 01/25 EUR35691 | FR0012452191 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003804084 |
COCA-COLA EUROPEAN PARTN 11/27 AV498979 | XS1907122656 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0003801034 |
GRAND CITY PROPERTIES SA 02/27 AR386350 | XS1781401085 | Deutschland | EUR | Bond | - | - | unknown | 0.0003799917 |
RCI BANQUE SA 07/24 AW471983 | FR0013393774 | Frankreich | EUR | Bond | - | - | unknown | 0.0003799206 |
AUTOROUTES PARIS-RHIN-RH 01/26 EUR52388 | FR0013182078 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0003797164 |
UNIBAIL 04/30 EUR38147 | XS1218363270 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003794809 |
BBG012D913C9 MONDELEZ INTERNATIONAL HOLDING 9/41 | XS2384726449 | Niederlande | EUR | Bond | - | - | unknown | 0.0003791533 |
NATIONAL AUSTRALIA BANK LTD 0.250% 2024-05-20 | XS1998797663 | Australien | EUR | Bond | - | - | Financial | 0.000379023 |
BBG012CD7KK8 LANXESS AG 9/27 | XS2383886947 | Deutschland | EUR | Bond | - | - | unknown | 0.0003789988 |
GLAXOSMITHKLINE CAP PLC 09/26 AP028861 | XS1681519184 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0003789641 |
COFIROUTE 09/28 EUR52997 | FR0013201134 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003784845 |
BBG00ZS96MJ7 FRESENIUS FIN IRELAND 10/25 | XS2325562424 | Irland | EUR | Bond | - | - | unknown | 0.0003784561 |
BBG012FB4CN7 CASTELLUM HELSINKI COMPANY GUAR REGS 09/29 0.875 9/29 | XS2387052744 | Finnland | EUR | Bond | - | - | unknown | 0.00037845 |
WOLTERS KLUWER NV 03/23 | XS0907301260 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003784266 |
GRAND CITY PROPERTIES SA 08/26 AO478673 | XS1654229373 | Deutschland | EUR | Bond | - | - | unknown | 0.0003783976 |
UNIBAIL RODAMCO SE | FR0013405040 | Frankreich | EUR | Bond | - | - | unknown | 0.0003782708 |
SOCIETE GENERALE 01/28 AP934455 | XS1718316281 | Frankreich | EUR | Bond | - | - | unknown | 0.0003782526 |
TALANX AG 02/23 | DE000TLX2003 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0003780969 |
RELX CAPITAL INC 05/25 EUR38515 | XS1231027464 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0003780932 |
FIDELITY NATIONAL INFORMATION | XS2085655590 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.000378085 |
ROYAL MAIL PLC | XS2063268754 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003780389 |
EDENRED 03/25 EUR37082 | FR0012599892 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003779157 |
CNP ASSURANCES | FR0013463775 | Frankreich | EUR | Bond | - | - | Financial | 0.0003778722 |
PEPSICO INC 07/28 EUR52724 | XS1446746189 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003775027 |
PARTNERRE IRELAND FINANCE D 09/26 EUR53090 | XS1489391109 | Irland | EUR | Bond | A3 | - | unknown | 0.0003773106 |
"ICADE" 11/25 | FR0013218393 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003770425 |
KELLOGG CO 03/25 EUR37051 | XS1199356954 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003770099 |
ISS GLOBAL A/S 08/27 AO853371 | XS1673102734 | Dänemark | EUR | Bond | - | - | unknown | 0.0003768433 |
CRH FUNDING BV 01/24 EUR44686 | XS1328173080 | Irland | EUR | Bond | Baa1 | - | unknown | 0.0003768107 |
BBG012JH1T38 ANZ NEW ZEALAND INTL/LDN 9/27 | XS2389757944 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003766795 |
BERLIN HANNOVER HYPOBANK AG 01/25 EUR36022 | DE000BHY0A56 | Deutschland | EUR | Bond | A1 | - | Financial | 0.0003766476 |
METRO AG 03/25 EUR37316 | XS1203941775 | Deutschland | EUR | Bond | Ba1 | - | unknown | 0.0003764665 |
FRANCE TELECOM 03/23 | XS0827999318 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003763433 |
BBG012F40B77 NATWEST GROUP PLC 9/32 | XS2382950330 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003763333 |
UNILEVER NV 07/25 AO477340 | XS1654192191 | Niederlande | EUR | Bond | - | - | unknown | 0.0003758071 |
BANCO DE SABADELL SA 03/24 AU292245 | XS1876076040 | Spanien | EUR | Bond | - | - | unknown | 0.0003757382 |
UNIBAIL 09/25 AS464355 | FR0013332988 | Frankreich | EUR | Bond | - | - | unknown | 0.0003755571 |
FRANCE TELECOM 05/25 EUR52137 | XS1408317433 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003752745 |
FIDELITY NATL INFO SERV SR UNSECURED 12/25 0.625 | XS2085608326 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003752598 |
ELIA SYSTEM OP SA/NV 05/24 EUR44421 | BE0002239086 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.0003751223 |
SUEZ ENVIRONNEMENT SA 04/25 AN022058 | FR0013248507 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003747057 |
MCDONALD'S CORP 06/26 AX613941 | XS1963744260 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003745752 |
ENAGAS FINANCIACIONES SAU 10/26 EUR53487 | XS1508831051 | Spanien | EUR | Bond | A3 | - | unknown | 0.0003745426 |
ABN AMRO BANK NV 0.875% 2025-04-22 | XS1808739459 | Niederlande | EUR | Bond | - | - | unknown | 0.0003744847 |
BBG00YCWTFN1 SNAM SPAEO-MED.-T. NTS 2020 (28/28) 12/28 | XS2268340010 | Italien | EUR | Bond | - | - | unknown | 0.000374454 |
ROYAL KPN NV 09/28 EUR52990 | XS1485533431 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0003743796 |
CREDIT AGRICOLE SA 25 1.625 6/25 | FR0013516184 | Frankreich | EUR | Bond | - | - | unknown | 0.0003742636 |
BBG01160KWP9 NOVO NORDISK FINANCE NL COMPANY GUAR REGS 06/28 0.125 6/28 | XS2348030425 | Niederlande | EUR | Bond | - | - | unknown | 0.0003740886 |
MOTABILITY OPERATIONS GR 06/23 EUR39100 | XS1244539760 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0003739195 |
MOTABILITY OPERATIONS GR 03/25 AM661126 | XS1578212299 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0003738361 |
CAPGEMINI SE 1.000% 2024-10-18 | FR0013327962 | Frankreich | EUR | Bond | - | - | unknown | 0.0003734231 |
UNILEVER PLC 1.500% 2039-06-11 | XS2008925344 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003733207 |
SCHNEIDER SA 09/23 EUR41336 | FR0012939841 | Frankreich | EUR | Bond | A3 | - | Industrial | 0.0003732709 |
AUCHAN SA 12/22 | FR0011372622 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003730101 |
BLACKROCK INC 05/25 EUR38448 | XS1117297785 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.000373003 |
MITSUBISHI UFJ FIN GRP 6/24 | XS2132337697 | Japan | EUR | Bond | - | - | unknown | 0.0003728398 |
SOCIETE GENERALE SA 4/26 | FR0013509098 | Frankreich | EUR | Bond | - | - | unknown | 0.0003728217 |
SCA HYGIENE AB 03/24 AM869694 | XS1584122177 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0003726224 |
BNP PARIBAS 06/24 AO023606 | XS1637277572 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0003726007 |
CIE DE ST GOB 1.75% APR23 EMTN 4/23 | XS2150053721 | Frankreich | EUR | Bond | - | - | unknown | 0.000372213 |
TELE2 AB 05/24 AV193367 | XS1907150350 | Schweden | EUR | Bond | - | - | unknown | 0.0003721659 |
"VIVENDI SA" 11/23 | FR0013220399 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003715065 |
MERCK FINANCIAL SERVICES GMBH | XS2102932055 | Deutschland | EUR | Bond | - | - | unknown | 0.0003714195 |
LONDON STOCK EXCH GROUP PLC 12/27 AV923202 | XS1918000107 | Großbritannien (UK) | EUR | Bond | - | - | Financial | 0.0003712746 |
JOHNSON & JOHNSON 05/24 EUR52205 | XS1411535799 | Vereinigte Staaten von Amerika | EUR | Bond | Aaa | - | unknown | 0.0003710319 |
BNP PARIBAS CARDIF SA 11/24 AQ144357 | FR0013299641 | Frankreich | EUR | Bond | - | - | Financial | 0.0003709522 |
BBG012CDTFQ9 AIA V0.88 09/09/33 GMTN 9/33 | XS2356311139 | Hong Kong | EUR | Bond | - | - | unknown | 0.0003709101 |
ITALGAS SPA | XS2090807293 | Italien | EUR | Bond | - | - | unknown | 0.0003707674 |
CREDIT MUTUEL ARKEA 10/23 AU719348 | FR0013370137 | Frankreich | EUR | Bond | - | - | unknown | 0.0003706877 |
PROCTER & GAMBLE CO 10/24 AP690859 | XS1708192684 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003706333 |
KIMBERLY-CLARK CORP 09/24 494368BX | XS1679515038 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003705283 |
UNILEVER NV 06/23 EUR38934 | XS1241577490 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0003704268 |
EUTELSAT SA 10/28 | FR00140005C6 | Frankreich | EUR | Bond | - | - | unknown | 0.0003704268 |
BANKIA SA | ES0213307053 | Spanien | EUR | Bond | - | - | unknown | 0.0003702891 |
BRITISH TELECOMMUNICATIONS 06/24 AO042241 | XS1637334803 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003701696 |
SOCIETE GENERALE SA 0.875% 2026-07-01 | FR0013430733 | Frankreich | EUR | Bond | - | - | unknown | 0.0003700246 |
MINNESOTA MINING & MFG 05/23 EUR38667 | XS1234370127 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.000370021 |
AROUNDTOWN PROPERTY HOLDING 01/25 AP838056 | XS1715306012 | Deutschland | EUR | Bond | - | - | unknown | 0.0003699522 |
0.625% EVONIK INDUSTRIES AG 9/25 | DE000A289NX4 | Deutschland | EUR | Bond | - | - | unknown | 0.0003699232 |
DEUTSCHE TELEKOM AG 03/26 AX644543 | DE000A2TSDD4 | Deutschland | EUR | Bond | - | - | unknown | 0.000369888 |
ALLIANZ FINANCE II B.V. COMPANY GUAR REGS 01/31 0.5 | DE000A28RSR6 | Deutschland | EUR | Bond | - | - | unknown | 0.0003696877 |
ROYAL KPN NV 04/25 EUR52989 | XS1485532896 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0003695681 |
BBG0113FXZQ7 AMERICAN TOWER CORP 5/29 | XS2346207892 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000369451 |
RED ELECTRICA FIN SA UNI | XS2103013210 | Spanien | EUR | Bond | - | - | unknown | 0.000369329 |
SNAM SPA SR UNSECURED REGS 09/34 1 9/34 | XS2051660509 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0003691696 |
UNION BANK OF NORWAY 09/23 AU573160 | XS1883911924 | Norwegen | EUR | Bond | - | - | Financial | 0.0003690464 |
BBG011K28M48 YORKSHIREBUILDI 7/28 | XS2358471246 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003689648 |
COFIROUTE 02/25 EUR52996 | FR0013201126 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003687928 |
MMS USA FINANCING INC 0.625% 2025-06-13 | FR0013425139 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003687276 |
SMITHS INDUSTRIES PLC 04/23 EUR38400 | XS1225626461 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003686877 |
VONOVIA FINANCE BV 7/30 | DE000A28ZQQ5 | Niederlande | EUR | Bond | - | - | unknown | 0.0003686189 |
1.375% DANSKE BANK 02/30 | XS2078761785 | Dänemark | EUR | Bond | - | - | Financial | 0.0003680283 |
METLIFE GLOBAL FUNDING 01/23 | XS0873665706 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0003679582 |
BBG00ZHXYGR9 MONDELEZ INTERNATIONAL INC 3/41 | XS2312723302 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003678892 |
ORANGE SA | FR00140005L7 | Frankreich | EUR | Bond | - | - | unknown | 0.000367695 |
ANZ BANKING GROUP 02/23 AR286050 | XS1774629346 | Australien | EUR | Bond | - | - | Financial | 0.0003675573 |
CONTINENTAL AG SR UNSECURED REGS 06/25 0.375 6/25 | XS2056430874 | Deutschland | EUR | Bond | - | - | unknown | 0.0003675527 |
BBG00Z6B4H36 DANSKE BANK A/S 5/31 | XS2299135819 | Dänemark | EUR | Bond | - | - | unknown | 0.000367263 |
BNZ INTERNATIONAL FUNDING LTD (LONDON BRANCH) 0.375% 2024-09-14 | XS2012047127 | Neuseeland | EUR | Bond | - | - | unknown | 0.0003672421 |
SVENSKA HANDELSBANKEN AB 0.500% 2023-03-21 | XS1795254025 | Schweden | EUR | Bond | - | - | unknown | 0.0003669958 |
MASTERCARD INC 12/22 EUR44493 | XS1327027998 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003669342 |
ESSILOR 24 0.25 1/24 | FR0013516051 | Frankreich | EUR | Bond | - | - | unknown | 0.0003668907 |
DEUTSCHE TELEKOM AG 05/26 AN643802 | XS1617898363 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003668665 |
0.5 ELI LILLY33 NTS | XS2386186063 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003666037 |
0.55% LINDE FINANCE BV 5/32 | XS2177021602 | Niederlande | EUR | Bond | - | - | unknown | 0.0003665972 |
HVB REAL ESTATE BANK AG 02/23 AX003497 | DE000A2LQNQ6 | Deutschland | EUR | Bond | - | - | unknown | 0.0003665863 |
WORLDLINESA/FRANCE 6/23 | FR0013521549 | Frankreich | EUR | Bond | - | - | unknown | 0.0003665755 |
BPCE SA | FR0013476207 | Frankreich | EUR | Bond | - | - | unknown | 0.0003661914 |
ALLIANZ FINANCE BV 06/23 AQ219063 | DE000A19S4U8 | Deutschland | EUR | Bond | Aa3 | - | unknown | 0.000366032 |
0.625% COCA COLA HBC FIN. 11/29 | XS2082345955 | Niederlande | EUR | Bond | - | - | unknown | 0.0003656154 |
BBG012XFJ726 GROUPE ACM 4/42 | FR0014006144 | Frankreich | EUR | Bond | - | - | unknown | 0.000365398 |
COOPERATIEVE RABOBANK U.A. | XS2068969067 | Niederlande | EUR | Bond | - | - | unknown | 0.0003651915 |
ASSICURAZIONI GENERALI SUBORDINATED REGS 10/30 2.124 10/30 | XS2056491587 | Italien | EUR | Bond | - | - | unknown | 0.0003651679 |
0% SCHNEIDERELECTRIC SE 6/23 | FR0013517711 | Frankreich | EUR | Bond | - | - | unknown | 0.0003647603 |
MERCK FIN SERVICES GMBH | XS2023643146 | Deutschland | EUR | Bond | - | - | unknown | 0.0003646697 |
APRR SA | FR0013477486 | Frankreich | EUR | Bond | - | - | Consumer, Non-cyclical | 0.000364456 |
SOCIETE GENERALE SR UNSECURED REGS 09/29 0.875 9/29 | FR0013448859 | Frankreich | EUR | Bond | - | - | unknown | 0.000364206 |
TERNA SPA | XS2033351995 | Italien | EUR | Bond | Baa2 | - | unknown | 0.000364177 |
BANKINTER SA 27 0.625 10/27 | ES0213679JR9 | Spanien | EUR | Bond | - | - | unknown | 0.0003634596 |
BBG00ZS96S86 ARVAL SERVICE LEASE 9/24 | FR0014002NR7 | Frankreich | EUR | Bond | - | - | unknown | 0.000363427 |
BBG010Z1HNY1 RED ELECTRICA FINANCIACIONES S 5/33 | XS2343540519 | Spanien | EUR | Bond | - | - | unknown | 0.0003629814 |
ROYAL BANK OF SCOTLAND 03/24 AU269928 | XS1875275205 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003627838 |
EMERSON ELECTRIC CO 10/29 AW568560 | XS1916073254 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003626712 |
BBG00ZN694P8 HANNOVER RUECK SE 6/42 | XS2320745156 | Deutschland | EUR | Bond | - | - | unknown | 0.0003626517 |
ALSTOM SA | FR0013453040 | Frankreich | EUR | Bond | - | - | unknown | 0.0003626444 |
BBG0100PSYS7 EUROGRID GMBH 4/33 | XS2333297625 | Deutschland | EUR | Bond | - | - | unknown | 0.0003626155 |
BBG0113FXZY8 AMERICAN TOWER CORP 5/33 | XS2346208197 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000362293 |
DISCOVERY COMMUNICATIONS LL 03/27 EUR37390 | XS1117298247 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0003621175 |
BBG012Q9B4H7 LEGRAND SA 31 0.375 10/31 | FR0014005OK3 | Frankreich | EUR | Bond | - | - | unknown | 0.0003619307 |
UNIBAIL RODAMCO SE FRN + 2.875% PERP | FR0013330537 | Frankreich | EUR | Bond | - | - | Financial | 0.0003618763 |
BELFIUS BANQUE SA 10/25 | BE6324720299 | Belgien | EUR | Bond | - | - | unknown | 0.0003618292 |
BBG01173G6X5 HAMMERSON IRELAND COMPANY GUAR REGS 06/27 1.75 6/27 | XS2344772426 | Irland | EUR | Bond | - | - | unknown | 0.0003617785 |
NYKREDIT 11/22 EUR43970 | XS1321920735 | Dänemark | EUR | Bond | Baa1 | - | Financial | 0.000361512 |
BBG012RXWPV7 ANESM 0.375 10/07/27 EMTN 10/27 | XS2388941077 | Spanien | EUR | Bond | - | - | unknown | 0.0003615104 |
BBG0137X2DH3 ATOS SE SR UNSECURED REGS 11/29 1 11/29 | FR0014006G24 | Frankreich | EUR | Bond | - | - | unknown | 0.0003611481 |
SVENSKA HANDELSBANKEN AB | XS2049582542 | Schweden | EUR | Bond | - | - | Financial | 0.0003610032 |
ELIA SYSTEM OP SA/NV 04/28 | BE0002432079 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.00036081 |
KLEPIERRE SA 0.625% 2030-07-01 | FR0013430741 | Frankreich | EUR | Bond | - | - | unknown | 0.0003606191 |
ORANGE SA | FR0013444676 | Frankreich | EUR | Bond | - | - | unknown | 0.0003605865 |
BBG012QZX5J0 BRENNTAG FINANCE BV 29 0.5 10/29 | XS2394063437 | Niederlande | EUR | Bond | - | - | unknown | 0.0003603945 |
BBG00ZC2ZKK9 COOPERATIEVE RABOBANK UA 2/33 | XS2306851853 | Niederlande | EUR | Bond | - | - | unknown | 0.000359967 |
BBG00Z165C32 DEUTSCHE PFANDBRIEFBANK AG 2/26 | DE000A3H2ZX9 | Deutschland | EUR | Bond | - | - | unknown | 0.0003597641 |
ZURICH FIN. (IREL.) DAC 9/50 | XS2189970317 | Irland | EUR | Bond | - | - | unknown | 0.0003597083 |
1.375 ELI LI 61 NTS | XS2386220698 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003592036 |
KONINKIJKE AHOLD DLHAIZE 04/27 1.75 4/27 | XS2150015555 | Niederlande | EUR | Bond | - | - | unknown | 0.0003591992 |
BBG00ZF99BP5 EQUINIX INC SR UNSECURED 03/33 1 3/33 | XS2304340693 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003591011 |
BBG012F08320 WOWAU 0.375 11/15/28 EMTN 11/28 | XS2384274440 | Australien | EUR | Bond | - | - | unknown | 0.0003585612 |
AMERICAN TOWER CORP 1/32 | XS2227906208 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000358496 |
CITYCON TREASURY BV 10/24 EUR32964 | XS1114434167 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003584104 |
VONOVIA FINANCE BV 2.750% 2038-03-22 | DE000A19X8C0 | Deutschland | EUR | Bond | - | - | unknown | 0.0003582587 |
BBG012CD3375 KBC GROUPNV 12/31 | BE0002819002 | Belgien | EUR | Bond | - | - | unknown | 0.000358246 |
SUEZ | FR0013452620 | Frankreich | EUR | Bond | - | - | unknown | 0.0003581265 |
BBG010RSFDY5 ERSTE GROUP BANK AG 5/28 | AT0000A2RAA0 | Österreich | EUR | Bond | - | - | unknown | 0.0003580757 |
BBG013FNC680 BANQUE FEDCRED MUTUEL 11/31 | FR0014006KD4 | Frankreich | EUR | Bond | - | - | unknown | 0.0003573221 |
HEIDELBERGCEMENT FINANCE LU 06/27 AN863182 | XS1629387462 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0003572088 |
BBG012F9R1W1 SWISS LIFE FINANCE I AG 9/31 | CH1130818847 | Liechtenstein | EUR | Bond | - | - | unknown | 0.0003571881 |
SAP AG 04/25 EUR37808 | DE000A14KJF5 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0003571337 |
PROLOGIS EURO FINANCE | XS2049583607 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003571301 |
THERMO FISHER SCIENTIFIC 32 2.375 4/32 | XS2010032451 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003558986 |
SUMITOMO MITSUI FINANCIAL GROUP INC 0.465% 2024-05-29 | XS1998025008 | Japan | EUR | Bond | - | - | Financial | 0.0003558062 |
INTERCONTINENTAL HOTELS 05/27 AV354943 | XS1908370171 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003556921 |
RCI BANQUE SA 04/25 AN103462 | FR0013250693 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0003556684 |
BBG00YC46H45 COCA COLAEUROPEAN PARTN 12/28 | XS2264977146 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003555758 |
BBG0106MTL78 CCEP FINANCE IRELAND DAC 9/29 | XS2337061670 | Irland | EUR | Bond | - | - | unknown | 0.0003555743 |
BBG00ZS95BC9 WOLTERS KLUWER NV 3/28 | XS2324836878 | Niederlande | EUR | Bond | - | - | unknown | 0.0003555529 |
DNB BANK ASA FRN + 1.125% 2028-03-20 | XS1794344827 | Norwegen | EUR | Bond | - | - | Financial | 0.0003554385 |
FRESENIUS SE & CO KGAA | XS2101357072 | Deutschland | EUR | Bond | - | - | unknown | 0.0003553509 |
CREDIT MUTUEL ARKEA 02/29 EUR54775 | FR0013236544 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003549949 |
BBG00YT2FVV0 KBCBB V0.125 01/14/29 1/29 | BE0002766476 | Belgien | EUR | Bond | - | - | unknown | 0.0003548331 |
BBG01135MTX7 CIMIC FINANCE LTD 05/29 1.5 5/29 | XS2346973741 | Australien | EUR | Bond | - | - | unknown | 0.0003548221 |
BBG00ZS96TJ2 FRESENIUS FINANCE IRELAND PLC 10/28 | XS2325565104 | Irland | EUR | Bond | - | - | unknown | 0.0003545839 |
BBG00Z7XCCM8 SPAREBANK1 SMN 2/28 | XS2303089697 | Norwegen | EUR | Bond | - | - | unknown | 0.0003539563 |
UNIBAIL 02/24 | XS1038708522 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003534104 |
CNH INDUSTRIAL FINANCE EURO 03/27 AX776186 | XS1969600748 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003530982 |
TELIASONERA AB 09/27 | XS0826189028 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0003530445 |
NASDAQ OMX GROUP 03/29 AX848246 | XS1843442622 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000352489 |
SNAM SPA 10/27 AP512121 | XS1700721464 | Italien | EUR | Bond | - | - | unknown | 0.0003522978 |
UNIBAIL-RODAMCO-WESTFIELD | FR0013456621 | Frankreich | EUR | Bond | - | - | unknown | 0.0003521411 |
BBG00Z962DQ0 INTESA SANPAOLO SPA 2/31 | XS2304664597 | Italien | EUR | Bond | - | - | unknown | 0.0003518941 |
PHOENIX GROUP HOLDINGS 01/29 AU589372 | XS1881005117 | Großbritannien (UK) | EUR | Bond | - | - | Financial | 0.0003517945 |
ASSICURAZIONI GENERALI SPA 01/29 AW823089 | XS1941841311 | Italien | EUR | Bond | - | - | unknown | 0.000351396 |
BBG010RRXT81 EURONEXT NV 5/31 | DK0030486402 | Niederlande | EUR | Bond | - | - | unknown | 0.0003509906 |
BBG011GKN4H2 BANK JULIUS BAER SR UNSECURED REGS 06/24 0.0000 6/24 | CH1120418079 | Schweiz | EUR | Bond | - | - | unknown | 0.0003509275 |
BBG00Z1R78C3 AUST + NZ BANKING GROUP SUBORDINATED REGS 05/31 VAR 5/31 | XS2294372169 | Australien | EUR | Bond | - | - | unknown | 0.0003508539 |
BBG00XY97DM0 ABBVIE INC 6/29 | XS2125914916 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003507001 |
HOCHTIEF AG 07/25 AT115939 | DE000A2LQ5M4 | Deutschland | EUR | Bond | - | - | unknown | 0.0003496343 |
DXC TECHNOLOGY CO 01/26 23355LAH | XS1883245331 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003491892 |
DEUTSCHE TELEKOM AG 10/24 | XS0847580353 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003489153 |
TELIASONERA AB 02/24 | XS0746010908 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0003486657 |
BBG00ZH96GP5 COCA-COLA CO/THE | XS2307864020 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003482693 |
MERCK KGAA 12/24 EUR34393 | XS1152343668 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.000347856 |
MCKESSON CORP 10/26 AR171252 | XS1771723167 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003477869 |
MERLIN PROPERTIES SOCIMI SA 04/23 EUR51987 | XS1398336351 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0003476592 |
BBG0129C5VJ4 VONOVIA SE 9/51 | DE000A3MP4W5 | Deutschland | EUR | Bond | - | - | unknown | 0.0003470906 |
COCA-COLA EUROPEAN PARTNERS PLC 1.125% 2029-04-12 | XS1981054221 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003469608 |
JYSKE BANK A/S 10/25 | XS2243666125 | Dänemark | EUR | Bond | - | - | unknown | 0.0003468217 |
BBG0116QL4J0 WORLEY USFINANCE SUB 6/26 | XS2351032227 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003467804 |
LEGRAND SA 07/32 AO150347 | FR0013266848 | Frankreich | EUR | Bond | - | - | unknown | 0.0003464626 |
ERICSSON LM 03/24 AM582914 | XS1571293684 | Schweden | EUR | Bond | Ba1 | - | unknown | 0.0003460009 |
CORPORACION MAPFRE 03/27 AM945790 | ES0224244089 | Spanien | EUR | Bond | Baa3 | - | unknown | 0.0003459886 |
MOLNLYCKE HOLDING AB 02/25 AL500391 | XS1564337993 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0003459364 |
DAIMLERCHRYSLER NORTH AMER 03/23 | DE000A1R0691 | Deutschland | EUR | Bond | A2 | - | Consumer, Cyclical | 0.0003457158 |
UNIBAIL 03/25 EUR38149 | XS1218319702 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003453558 |
INTL FLAVORS & FRAGRANCE 03/24 EUR51645 | XS1319817323 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003453101 |
WHIRLPOOL FINANCE LUXEMBOUR 11/27 AP887179 | XS1716616179 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003449813 |
ARCHER-DANIELS-MIDLAND 06/23 039483BK | XS1249493948 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003438986 |
ILLINOIS TOOL WORKS INC 05/30 452308AW | XS1234953906 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003437362 |
GB 04/24 EUR51894 | XS1395010397 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003436994 |
SODEXHO SA 04/27 EUR53365 | XS1505132602 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003434437 |
BBG00ZLG9PY1 KONINKLIJKE AHOLD DELHAIZE NV 3/30 | XS2317288301 | Niederlande | EUR | Bond | - | - | unknown | 0.0003423232 |
BBG00ZH96F22 COCA COLACO | XS2307863998 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003422698 |
RENTOKIL INITIAL PLC 0.875% 2026-05-30 | XS1996441066 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003414244 |
0.875% CHUBB INA HLDGS. 12/29 | XS2091606330 | Schweiz | EUR | Bond | - | - | Financial | 0.000341069 |
LYB INTERNATIONAL FINANC COMPANY GUAR 09/26 0.875 9/26 | XS2052310054 | Niederlande | EUR | Bond | - | - | unknown | 0.0003408332 |
PROCTER & GAMBLE CO 10/24 AV231715 | XS1900750107 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003407137 |
BBG01367WQ25 PROCTER +GAMBLE CO/THE 11/41 | XS2404214020 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003407067 |
CNP ASSURANCES 06/25 | FR0011949403 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0003405751 |
MICROSOFT CORP 05/33 | XS0922885362 | Vereinigte Staaten von Amerika | EUR | Bond | Aaa | - | unknown | 0.0003405518 |
BBG011359R02 TECHNIP ENERGIES NV 05/28 1.125 5/28 | XS2347284742 | Frankreich | EUR | Bond | - | - | unknown | 0.0003403583 |
INFORMA PLC 07/23 AT216814 | XS1853426549 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003402653 |
TALANX AG 07/26 EUR29859 | DE000TLX2102 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0003395063 |
BBG00YVDZGM4 HOLCIM FINANCE LU SA 1/33 | XS2286442186 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003394923 |
HELVETIA EUROPE SA COMPANY GUAR REGS 09/41 VAR 9/41 | XS2197076651 | Luxemburg | EUR | Bond | - | - | unknown | 0.000339397 |
"BAXTER INTERNATIONAL INC" 5/25 | XS1577962084 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003390513 |
EMERSON ELECTRIC CO 10/25 AW568559 | XS1915689746 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Industrial | 0.000339029 |
TELEFONICA EMISIONES SAU 1.957% 2039-07-01 | XS2020583618 | Spanien | EUR | Bond | - | - | unknown | 0.0003388964 |
"ATLAS COPCO AB" 8/26 | XS1482736185 | Schweden | EUR | Bond | A2 | - | unknown | 0.0003386727 |
COCA-COLA CO 03/24 AM660546 | XS1574672397 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0003384387 |
RCI BANQUE SA 04/26 AX895475 | FR0013412707 | Frankreich | EUR | Bond | - | - | unknown | 0.00033828 |
ASSICURAZIONI GENERALI, 2.429% 14JUL2031 7/31 | XS2201857534 | Italien | EUR | Bond | - | - | unknown | 0.0003381589 |
H LUNDBECK A/S SR UNSECURED REGS 10/27 0.875 10/27 | XS2243299463 | Dänemark | EUR | Bond | - | - | unknown | 0.0003381497 |
INVESTOR AB 1.500% 2039-06-20 | XS2015329498 | Schweden | EUR | Bond | - | - | Financial | 0.0003378246 |
AMADEUS ITGROUP SA 5/27 | XS2177555062 | Spanien | EUR | Bond | - | - | unknown | 0.0003377642 |
TYCO ELECTRONICS GROUP SA 03/23 EUR36923 | XS1196173089 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0003373859 |
ISS GLOBAL A/S 0.875% 2026-06-18 | XS2013618421 | Dänemark | EUR | Bond | - | - | unknown | 0.0003373659 |
BBG00Z6B8NG5 SNAM SPA 8/25 | XS2300208928 | Italien | EUR | Bond | - | - | unknown | 0.0003370232 |
FIDELITY NATIONAL INFORMATION SERVICES INC 2.950% 2039-05-21 | XS1843436145 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003367041 |
MINNESOTA MINING & MFG 05/30 EUR38668 | XS1234373733 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003366531 |
SODEXO SA 7/28 | XS2203996132 | Frankreich | EUR | Bond | - | - | unknown | 0.0003365491 |
MERCK & CO INC 10/34 EUR33192 | XS1028941893 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003362395 |
JCDECAUX SA 4/28 | FR0013509643 | Frankreich | EUR | Bond | - | - | unknown | 0.0003360009 |
RAIFFEISEN BANK INTL 10/23 | XS0981632804 | Österreich | EUR | Bond | Ba1 | - | unknown | 0.0003359526 |
WENDEL INVESTISSEMENT 02/27 EUR36517 | FR0012516417 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0003358983 |
DEUTSCHE TELEKOM AG 12/22 AS750218 | XS1828032513 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003358183 |
ABBVIE INC 11/31 1.25 11/31 | XS2055647213 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003356722 |
MIZUHO FINANCIAL GROUP | XS2098350965 | Japan | EUR | Bond | - | - | Financial | 0.00033536 |
FOERENINGSBANKEN AB 11/22 AN612173 | XS1617859464 | Schweden | EUR | Bond | Baa1 | - | Financial | 0.0003353367 |
BUZZI UNICEM SPA 4/23 | XS1401125346 | Italien | EUR | Bond | Ba1 | - | unknown | 0.0003353178 |
SE 9/29 | XS2049769297 | Schweden | EUR | Bond | - | - | unknown | 0.0003351507 |
0.30% CHUBB INA HLDGS. 12/24 | XS2091604715 | Schweiz | EUR | Bond | - | - | Financial | 0.0003350013 |
BBG00YG99QN6 SBB TREASURY OYJ COMPANY GUAR REGS 12/28 0.75 12/28 | XS2271332285 | Finnland | EUR | Bond | - | - | unknown | 0.0003348645 |
BBG0114M8512 VIRGIN MONEY UK PLC 5/24 | XS2346591113 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003348053 |
GECINA SA 1.625% 2034-05-29 | FR0013422227 | Frankreich | EUR | Bond | - | - | unknown | 0.0003343917 |
BBG00YVDZGJ8 HOLCIM FINANCE LUXEMBOURG SA 7/27 | XS2286441964 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003342818 |
ASR NEDERLAND NV FRN + 3.375% 2049-05-02 | XS1989708836 | Niederlande | EUR | Bond | - | - | unknown | 0.0003342226 |
INVESTOR AB 05/23 | XS0625859516 | Schweden | EUR | Bond | Aa3 | - | unknown | 0.0003339652 |
AUTOROUTES PARIS-RHIN-RH 01/30 AV670574 | FR0013382348 | Frankreich | EUR | Bond | - | - | unknown | 0.0003338754 |
MERCK & CO INC 11/36 EUR53560 | XS1513062411 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003337486 |
RCI BANQUE SA SR UNSECURED REGS 03/23 0.25 3/23 | FR0013448669 | Frankreich | EUR | Bond | - | - | unknown | 0.000333613 |
KLEPIERRE SA 5/29 | FR0013512233 | Frankreich | EUR | Bond | - | - | unknown | 0.0003332051 |
BBG00ZHY1V18 EATON CAPITAL UNLIMITED CO 3/30 | XS2310748483 | Irland | EUR | Bond | - | - | unknown | 0.0003330352 |
JOHNSON CONTROLS INTERNATIO 02/25 EUR54502 | XS1539114287 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.000333019 |
COCA COLA CO/THE | XS1955024713 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0003325454 |
SCOR 06/26 EUR45017 | FR0013067196 | Frankreich | EUR | Bond | A2 | - | Financial | 0.0003322148 |
THERMO FISHER SCIENTIFIC 27 1.75 4/27 | XS2010032022 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003318499 |
VIENNA INSURANCE GROUP 10/23 | AT0000A12GN0 | Österreich | EUR | Bond | A3 | - | Financial | 0.0003318314 |
SUEZ ENVIRONNEMENT SA 09/30 AU388932 | FR0013359254 | Frankreich | EUR | Bond | - | - | unknown | 0.0003312577 |
PROLOGIS EURO FINANCE 01/29 AT720016 | XS1861322383 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0003312094 |
BBG00XY9BGZ4 ABBVIE INC SR UNSECURED 11/23 1.5 11/23 | XS2125913942 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003308396 |
BBG00ZSJGH14 NIDEC CORP SR UNSECURED REGS 03/26 0.046 3/26 | XS2323295563 | Japan | EUR | Bond | - | - | unknown | 0.0003306805 |
BBG00ZXLTN70 MIZUHO FINANCIAL GROUP 4/26 | XS2329143510 | Japan | EUR | Bond | - | - | unknown | 0.0003306705 |
AIR LIQUIDE 30 1.375 4/30 | FR0013505567 | Frankreich | EUR | Bond | - | - | unknown | 0.0003305663 |
UNIBAIL 05/38 AS464352 | FR0013333002 | Frankreich | EUR | Bond | - | - | unknown | 0.0003305573 |
NASDAQ INC 2/30 | XS2010032881 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003303581 |
BBG012HPTL20 SMURFIT KAPPA TREASURY 9/33 | XS2388183381 | Irland | EUR | Bond | - | - | unknown | 0.0003301923 |
MCDONALD'S CORP 05/27 EUR38730 | XS1237271421 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003300953 |
COCA COLA HBC FINANCE BV 1.625% 2031-05-14 | XS1995795504 | Schweiz | EUR | Bond | - | - | unknown | 0.0003298659 |
BBG012F02FV7 MEDIOBANCADI CRED FIN 11/28 | XS2386287689 | Italien | EUR | Bond | - | - | unknown | 0.0003297572 |
BBG00Z5YVLV7 ITALGAS SPA 2/28 | XS2299001888 | Italien | EUR | Bond | - | - | unknown | 0.0003296728 |
ECOLAB INC 07/25 278865AS | XS1255433754 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | Basic Materials | 0.0003296606 |
CAPGEMINI SE 1.750% 2028-04-18 | FR0013327988 | Frankreich | EUR | Bond | - | - | unknown | 0.0003296545 |
NE PROPERTY BV 3.375% 2027 7/27 | XS2203802462 | Niederlande | EUR | Bond | - | - | unknown | 0.0003295857 |
EUREKO BV 02/25 EUR36444 | XS1180651587 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0003293737 |
INVESTOR AB 10/35 | XS2250024010 | Schweden | EUR | Bond | - | - | unknown | 0.000329089 |
COLGATE PALMOLIVE CO | XS1958648294 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003289027 |
BBG01367WP54 PROCTER +GAMBLE CO/THE 5/30 | XS2404213485 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003279126 |
BBG00ZH96F04 COCA COLACO/THE | XS2307863642 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003275021 |
MCDONALD'S CORP 03/31 AX613942 | XS1963745234 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003274475 |
STANDARD CHARTERED BANK 11/24 EUR33751 | XS1140857316 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0003274173 |
BBG00Y99YLB0 TELIA CO AB 0.37% 27/11/30 EUR 11/30 | XS2264161964 | Schweden | EUR | Bond | - | - | unknown | 0.0003270487 |
VIER GAS TRANSPORT GMBH 09/28 AU424718 | XS1882681452 | Deutschland | EUR | Bond | - | - | unknown | 0.0003270338 |
ASML HOLDING NV 05/27 EUR53720 | XS1527556192 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003270218 |
BBG0129LSYY6 BANK OF NOVA SCOTIA 11/28 | XS2381362966 | Kanada | EUR | Bond | - | - | unknown | 0.0003266785 |
BBG00YB6WYD5 CNH INDUSTRIAL FINANCE EUROPE SA 4/24 | XS2264980363 | Luxemburg | EUR | Bond | - | - | unknown | 0.000326393 |
MIZUHO FINANCIAL GROUP INC 9/29 | XS2049630028 | Japan | EUR | Bond | - | - | unknown | 0.0003260275 |
SIKA CAPITAL BV 1.500% 2031-04-29 | XS1986416698 | Niederlande | EUR | Bond | - | - | unknown | 0.0003258231 |
ASSICURAZIONI GENERALI SPA 12/22 | XS0863907522 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0003257416 |
FONCIERE DES REGIONS 05/26 EUR52167 | FR0013170834 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003257205 |
MCDONALD'S CORP 11/24 | XS0857662448 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003256782 |
DEUTSCHE TELEKOM AG 03/39 AX781466 | DE000A2LQRS3 | Deutschland | EUR | Bond | - | - | unknown | 0.0003255822 |
SMITHS INDUSTRIES PLC 02/27 AM544815 | XS1570260460 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003255755 |
COVIVIO SR UNSECURED REGS 06/30 1.625 6/30 | FR0013519279 | Frankreich | EUR | Bond | - | - | unknown | 0.0003251015 |
PROCTER & GAMBLE CO 10/38 AV231720 | XS1900752905 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | Consumer, Non-cyclical | 0.000325017 |
LYB INTERNATIONAL FINANC COMPANY GUAR 09/31 1.625 9/31 | XS2052313827 | Niederlande | EUR | Bond | - | - | unknown | 0.0003249415 |
NN GROUP NV 06/27 AN738232 | XS1623355457 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003248932 |
EDENRED 03/26 AV923718 | FR0013385655 | Frankreich | EUR | Bond | - | - | unknown | 0.0003241444 |
JOHNSON & JOHNSON 11/28 EUR52206 | XS1412266816 | Vereinigte Staaten von Amerika | EUR | Bond | Aaa | - | unknown | 0.0003238787 |
EXOR NV 01/28 AQ718355 | XS1753808929 | Niederlande | EUR | Bond | - | - | unknown | 0.0003232538 |
AUTOROUTES PARIS-RHIN-RH 01/28 AW637403 | FR0013397288 | Frankreich | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0003231722 |
FONCIERE DES REGIONS 06/27 AN963400 | FR0013262698 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003230032 |
BBG0129MM092 JYSKE BANKA/S 9/26 | XS2382849888 | Dänemark | EUR | Bond | - | - | unknown | 0.0003228421 |
BBG012D95P27 DXC CAPITAL FUNDING LTD 9/31 | XS2384716721 | Irland | EUR | Bond | - | - | unknown | 0.0003227296 |
INMOBILIARIA COLONIAL SOCIMI SA 2.000% 2026-04-17 | XS1808395930 | Spanien | EUR | Bond | - | - | unknown | 0.0003226409 |
1.125 ELI 51 BDS | XS2386186576 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003226306 |
AMERICAN TOWER CORP 05/26 03027XAS | XS1823300949 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003226016 |
CARREFOUR SA 05/26 AV875630 | FR0013383213 | Frankreich | EUR | Bond | - | - | unknown | 0.0003225986 |
TRANSURBAN FINANCE CMPNY 08/25 EUR38842 | XS1239502328 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0003225684 |
FRANCE 4/25 | FR0013506813 | Frankreich | EUR | Bond | - | - | unknown | 0.0003224899 |
WOLTERS KLUWER NV 03/27 AM851062 | XS1575992596 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003224688 |
FISERV INC 1.625% 2030-07-01 | XS1843434108 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003224627 |
KOJAMO OYJ 5/27 | XS2179959817 | Finnland | EUR | Bond | - | - | unknown | 0.0003221366 |
GRP BRUXELLES LAMBERT SA 6/25 | BE0002595735 | Belgien | EUR | Bond | - | - | unknown | 0.0003220914 |
KENNEDY WILSON EUROPE REAL 11/25 EUR43851 | XS1321149434 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003220008 |
TAKEDA PHARMACEUTICAL CO LTD 7/27 | XS2197348324 | Japan | EUR | Bond | - | - | unknown | 0.0003219911 |
DEUTSCHE BOERSE AG 1.125% 2028-03-26 | DE000A2LQJ75 | Deutschland | EUR | Bond | - | - | unknown | 0.000321883 |
ICADE 09/27 AO890407 | FR0013281755 | Frankreich | EUR | Bond | - | - | unknown | 0.0003218438 |
BRAMBLES FINANCE PLC 10/27 AP138040 | XS1577950667 | Australien | EUR | Bond | - | - | unknown | 0.0003217653 |
HOCHTIEF AG | DE000A2YN2U2 | Deutschland | EUR | Bond | - | - | unknown | 0.0003214432 |
UNIQA INSURANCE GROUP AG 7/30 | XS2199604096 | Österreich | EUR | Bond | - | - | unknown | 0.0003212248 |
CHUBB INA HOLDINGS INC 1.400% 2031-06-15 | XS2012102914 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0003211433 |
ASF 01/24 | FR0011694033 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003211131 |
AUTOROUTES PARIS-RHIN-RH 01/27 EUR53696 | FR0013220258 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003208172 |
ICADE 02/28 AR386964 | FR0013320058 | Frankreich | EUR | Bond | - | - | unknown | 0.0003207297 |
ROYAL MAIL PLC 07/24 EUR30156 | XS1091654761 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0003205244 |
FRANCE 1/27 | FR0013506516 | Frankreich | EUR | Bond | - | - | unknown | 0.0003204821 |
SPI ELECTRICITY & GAS 02/27 EUR36760 | XS1191877452 | Australien | EUR | Bond | A3 | - | unknown | 0.0003204308 |
RED ELECTRICA FIN SA UNI 03/27 AR505426 | XS1788586375 | Spanien | EUR | Bond | - | - | unknown | 0.0003203342 |
AMADEUS IT GROUP SA 09/26 AU390057 | XS1878191219 | Spanien | EUR | Bond | - | - | unknown | 0.0003201832 |
DEUTSCHE POST AG 10/23 | XS0977496636 | Deutschland | EUR | Bond | A3 | - | unknown | 0.00032015 |
BRAMBLES FINANCE LTD 06/24 | XS1028952312 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0003198451 |
WELLCOME TRUST LTD/THE 01/27 EUR35837 | XS1171485722 | Großbritannien (UK) | EUR | Bond | Aaa | - | unknown | 0.000319842 |
SUEZ ENVIRONNEMENT SA 10/23 | FR0011585215 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003195945 |
DSM NV 04/24 | XS1041772986 | Niederlande | EUR | Bond | A3 | - | unknown | 0.000319522 |
AMADEUS ITGROUP SA 5/24 | XS2177552390 | Spanien | EUR | Bond | - | - | unknown | 0.0003195069 |
COMMONWEALTH BANK OF AUST 01/28 AQ711350 | XS1750349190 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0003194224 |
ISS GLOBAL A/S 12/24 EUR33945 | XS1145526825 | Dänemark | EUR | Bond | Baa3 | - | unknown | 0.0003193469 |
BPCE SA 02/23 | FR0011280056 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003193137 |
VOLVO TREASURY AB 03/23 EUR34225 | XS1150695192 | Schweden | EUR | Bond | - | - | unknown | 0.0003192865 |
AIR LIQUIDE 06/24 | FR0011951771 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003192503 |
GENERAL MILLS INC 04/23 EUR38332 | XS1223830677 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.000319162 |
UNIBAIL 02/28 AM529194 | XS1569845404 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003191506 |
CREDIT MUTUEL ARKEA SA 1.625% 2026-04-15 | FR0013414091 | Frankreich | EUR | Bond | - | - | Financial | 0.0003190993 |
DEUTSCHE ANNINGTON FINANCE 06/26 EUR52426 | DE000A182VT2 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.000319054 |
BBG00Z6NR4B5 BECTON DICKINSON EURO FINANCE 2/36 | XS2298459426 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003190206 |
PINAULT PRINTEMPS REDOUTE 05/26 EUR52111 | FR0013165677 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0003189574 |
NATIONWIDE BUILDING SOCIETY 04/23 AN206423 | XS1599125157 | Großbritannien (UK) | EUR | Bond | A1 | - | Financial | 0.0003189108 |
DAIMLERCHRYSLER NORTH AMER 07/24 EUR29197 | DE000A11QSB8 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0003186796 |
TELFONICA DEUTSCH FINAN 07/25 AS674440 | XS1851313863 | Deutschland | EUR | Bond | - | - | unknown | 0.0003184019 |
VOLVO TREASURY AB 5/25 | XS2175848170 | Schweden | EUR | Bond | - | - | unknown | 0.0003183173 |
DEUTSCHE TELEKOM INT FIN 04/25 | XS0503603267 | Deutschland | EUR | Bond | Baa1 | CDAX Index | unknown | 0.0003180716 |
BRITISH TELECOMMUNICATIONS 09/28 AU633817 | XS1886403200 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003180403 |
EUTELSAT SA 2.250% 2027-07-13 | FR0013422623 | Frankreich | EUR | Bond | - | - | unknown | 0.0003180365 |
TELIASONERA AB 09/33 | XS0968972199 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0003177195 |
RIO TINTO FINANCE PLC 12/24 | XS0863127279 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0003177089 |
UNILEVER NV 02/27 AM440755 | XS1566101603 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0003177074 |
EUROFINS SCIENTIFIC SE 7/24 | XS1651444140 | Frankreich | EUR | Bond | - | - | unknown | 0.0003177014 |
BBG010RRXTB7 EURONEXT NV 5/41 | DK0030486592 | Niederlande | EUR | Bond | - | - | unknown | 0.0003176591 |
"TRANSURBAN FINANCE COMPANY PTY LTD" 5/29 | XS1997077364 | Australien | EUR | Bond | - | - | unknown | 0.0003176471 |
UNITED PARCEL SERVICE INC 11/28 EUR53488 | XS1405767515 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0003175957 |
SOCIETE FONCIERE LYONNAI 05/25 AS688692 | FR0013335767 | Frankreich | EUR | Bond | - | - | unknown | 0.0003175776 |
GECINA 01/29 EUR53214 | FR0013205069 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003174508 |
FRANCE 4/27 | FR0013506862 | Frankreich | EUR | Bond | - | - | unknown | 0.0003173783 |
AUCHAN SA 01/24 AW852557 | FR0013399060 | Frankreich | EUR | Bond | - | - | unknown | 0.0003173029 |
WPC EUROBOND BV 04/28 1.35 4/28 | XS2052968596 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003169692 |
FMC FINANCE VII SA 07/25 AT457158 | XS1854532949 | Deutschland | EUR | Bond | - | - | unknown | 0.0003169194 |
BBG0115J5PV4 METROPOLITAN LIFE GLOBAL FUNDI 5/29 | XS2346225878 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003165652 |
BERTELSMANN AG 04/26 EUR51993 | XS1400165350 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003163578 |
BBG01160KW33 NOVO NORDISK FINANCE NETHERLAN 6/24 | XS2348030268 | Niederlande | EUR | Bond | - | - | unknown | 0.0003162575 |
ASF 05/26 EUR52147 | FR0013169885 | Frankreich | EUR | Bond | A3 | - | Consumer, Non-cyclical | 0.0003158657 |
BANCO BILBAO VIZCAYA ARG | XS1954087695 | Spanien | EUR | Bond | - | - | unknown | 0.0003158265 |
ELIA SYSTEM OP SA/NV 12/23 AU216832 | BE0002597756 | Belgien | EUR | Bond | - | - | unknown | 0.0003157389 |
SUEZ ENVIRONNEMENT SA 04/24 AN206662 | FR0013252061 | Frankreich | EUR | Bond | Baa2 | - | Utilities | 0.0003157238 |
TLG IMMOBILEN AG 1.500% 2026-05-28 | XS1843435501 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003156091 |
WPP FINANCE 2016 1.375% 2025-03-20 | XS1794084068 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003153917 |
SVENSKA CELLULOSA AB 06/23 | XS0942094805 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0003153555 |
RED ELECTRICA FIN SA UNI 04/26 EUR51893 | XS1395060491 | Spanien | EUR | Bond | A3 | - | unknown | 0.0003152921 |
BBG012HPR046 DSV PANALPINA FINANCE BV 9/36 | XS2387735470 | Niederlande | EUR | Bond | - | - | unknown | 0.0003150617 |
RED ELECTRICA FIN SA UNI 04/25 EUR38235 | XS1219462543 | Spanien | EUR | Bond | A3 | - | unknown | 0.0003150505 |
BBG00Q9LPC11 TLG FINANCE SARL COMPANY GUAR REGS VAR 12/24 | XS2055106210 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003148754 |
CASTELLUM AB 11/23 AV645464 | XS1912654321 | Schweden | EUR | Bond | - | - | unknown | 0.0003147275 |
ABBEY NATIONAL PLC 03/25 EUR37040 | XS1199439222 | Großbritannien (UK) | EUR | Bond | Aa3 | - | unknown | 0.000314661 |
BERLIN HANNOVER HYPOBANK AG 02/26 AW964069 | DE000BHY0BP6 | Deutschland | EUR | Bond | - | - | unknown | 0.0003146006 |
ALBEMARLENEW HOLDING | XS2083146964 | Deutschland | EUR | Bond | - | - | unknown | 0.000314501 |
0,75% LEGRAND SA 5/30 | FR0013513538 | Frankreich | EUR | Bond | - | - | unknown | 0.0003143621 |
SAMHALLSBYGGNADSBOLAGET I NORDEN AB 1.750% 2025-01-14 | XS1993969515 | Schweden | EUR | Bond | - | - | unknown | 0.0003142897 |
BBG00YVS6LL3 BALDER FINLAND OYJ 1/29 | XS2288925568 | Finnland | EUR | Bond | - | - | unknown | 0.0003137239 |
TERNA RETE ELETTRICA NAZIONALE SPA 1.000% 2026-04-10 | XS1980270810 | Italien | EUR | Bond | - | - | unknown | 0.0003136919 |
LANXESS AG 05/25 AS579334 | XS1820748538 | Deutschland | EUR | Bond | - | - | unknown | 0.0003135349 |
OKO BANK 05/25 AS665876 | XS1823485039 | Finnland | EUR | Bond | - | - | unknown | 0.0003135228 |
AVERY DENNISON CORP 03/25 AM500816 | XS1533922263 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003135167 |
AIR LIQUIDE FINANCE COMPANY GUAR REGS 04/25 1 4/25 | FR0013505559 | Frankreich | EUR | Bond | - | - | unknown | 0.0003135047 |
ACHMEA BV 5/27 | XS2175967343 | Niederlande | EUR | Bond | - | - | unknown | 0.0003134964 |
GRP BRUXELLES LAMBERT SA 24 1.375 5/24 | BE0002280494 | Belgien | EUR | Bond | - | - | unknown | 0.0003134926 |
CREDIT MUTUEL ARKEA 10/24 AP636677 | FR0013291556 | Frankreich | EUR | Bond | - | - | Financial | 0.0003134352 |
BBG011MCNV10 DSV PANALPINA FI 33 0.75 7/33 | XS2360881549 | Niederlande | EUR | Bond | - | - | unknown | 0.0003133781 |
KERING SA 5/28 | FR0013512407 | Frankreich | EUR | Bond | - | - | unknown | 0.0003133567 |
SAGAX AB 01/24 AU457627 | XS1877540465 | Schweden | EUR | Bond | - | - | unknown | 0.0003133296 |
"CARREFOUR SA" 5/27 | FR0013419736 | Frankreich | EUR | Bond | - | - | unknown | 0.0003132782 |
DEUTSCHE ANNINGTON FINANCE 09/25 AO968088 | DE000A19NS93 | Deutschland | EUR | Bond | - | - | unknown | 0.000313242 |
DSM NV 04/25 EUR37978 | XS1215181980 | Niederlande | EUR | Bond | A3 | - | unknown | 0.0003131393 |
ICADE SANTE SAS 9/30 | FR0013535150 | Frankreich | EUR | Bond | - | - | unknown | 0.0003130065 |
ARKEMA SR UNSECURED REGS 12/29 0.75 | FR0013464815 | Frankreich | EUR | Bond | - | - | unknown | 0.0003126985 |
AIR LIQUIDE FINANCE SA 0.625% 2030-06-20 | FR0013428067 | Frankreich | EUR | Bond | - | - | unknown | 0.0003126261 |
PEPSICO INC 03/27 AX613782 | XS1963553919 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0003124993 |
BBG00Z46WK68 PROLOGIS EURO FINANCE 2/41 | XS2296206068 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003124565 |
DEUTSCHE POST AG 04/26 EUR51797 | XS1388661735 | Deutschland | EUR | Bond | A3 | - | unknown | 0.0003124305 |
AROUNDTOWN SA | XS2023873149 | Deutschland | EUR | Bond | - | - | unknown | 0.0003122456 |
COMMERZBANK AG 08/28 AU145629 | DE000CZ40M39 | Deutschland | EUR | Bond | - | - | unknown | 0.000311967 |
ADECCO INT FINANCIAL SVS 12/24 EUR53716 | XS1527526799 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0003117686 |
TELEPERFORMANCE 04/24 AM888653 | FR0013248465 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0003117505 |
AMERICAN TOWER CORP 1/28 | XS2227905903 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003117484 |
LEGRAND SA 0.625% 2028-06-24 | FR0013428943 | Frankreich | EUR | Bond | - | - | unknown | 0.0003117112 |
UNICREDIT SPA 1.625% 2025-07-03 | XS2021993212 | Italien | EUR | Bond | - | - | unknown | 0.0003115029 |
JOHN DEERE CASH MANAGEME COMPANY GUAR REGS 04/28 1.85 4/28 | XS2150006307 | Luxemburg | EUR | Bond | - | - | unknown | 0.0003115011 |
CHUBB INA HOLDINGS INC 0.875% 2027-06-15 | XS2012102674 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0003114848 |
EVONIK FINANCE BV 09/28 EUR52993 | DE000A185QB3 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0003113852 |
BBG012XZ2W89 FINECO BANK SPA SR UNSECURED REGS 10/27 VAR 10/27 | XS2398807383 | Italien | EUR | Bond | - | - | unknown | 0.0003113402 |
COMMERZBANK AG 09/25 AP115334 | DE000CZ40MC5 | Deutschland | EUR | Bond | - | - | unknown | 0.0003113127 |
REN FINANCE BV 06/23 EUR52327 | XS1423826798 | Portugal | EUR | Bond | Baa3 | - | unknown | 0.0003110923 |
BBG00YVS7JY3 MOTABILITY OPERATIONS GROUP PLC 7/28 | XS2287624584 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003109948 |
KELLOGG CO 05/24 EUR52180 | XS1410417544 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0003108085 |
BPCE SA 11/22 EUR44420 | FR0013063385 | Frankreich | EUR | Bond | Baa2 | - | Financial | 0.0003105368 |
AEGON NV 12/23 EUR53809 | XS1529854793 | Niederlande | EUR | Bond | A3 | - | unknown | 0.0003103435 |
FRESENIUS SE & CO KGAA 9/26 | XS2237434472 | Deutschland | EUR | Bond | - | - | unknown | 0.0003102002 |
COLGATE PALMOLIVE CO SR UNSECURED 11/39 0.875 | XS2078409716 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Non-cyclical | 0.0003101926 |
MITSUBISHI UFJ FINANCIAL GR 09/24 AO868661 | XS1675764945 | Japan | EUR | Bond | A1 | - | Financial | 0.0003098454 |
UNITED STATES 5/26 | XS2168307333 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003098303 |
RELX FINANCE BV 03/24 AM837780 | XS1576838376 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0003095676 |
AIR LIQUIDE 06/24 EUR52429 | FR0013182839 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0003094347 |
ORANGE SA JR SUBORDINA REGS VAR 3/27 | FR0013447877 | Frankreich | EUR | Bond | - | - | unknown | 0.0003094136 |
LEG IMMOBILIEN AG | DE000A254P51 | Deutschland | EUR | Bond | - | - | unknown | 0.0003092928 |
COVESTRO AG 09/24 EUR51621 | XS1377745937 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0003092574 |
CHORUS LTD 10/23 EUR53418 | XS1505890530 | Neuseeland | EUR | Bond | Baa2 | - | unknown | 0.0003091721 |
EATON CAPITAL UNLIMITED CO 0.697% 2025-05-14 | XS1996269061 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003091449 |
BANKIA SA 03/24 AX728066 | ES0313307201 | Spanien | EUR | Bond | - | - | unknown | 0.0003091207 |
MIZUHO FINANCIAL GROUP 10/25 | XS2241387252 | Japan | EUR | Bond | - | - | unknown | 0.000308916 |
NYKREDIT 01/24 AX801451 | DK0009522732 | Dänemark | EUR | Bond | Baa1 | - | unknown | 0.0003087282 |
ILLINOIS TOOL WORKS INC 0.625% 2027-12-05 | XS1843435170 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Industrial | 0.000308686 |
DEUTSCHE BOERSE AG SUBORDINATED REGS 06/47 VAR 6/47 | DE000A289N78 | Deutschland | EUR | Bond | - | - | unknown | 0.0003086799 |
ST GOBAIN NEDERLAND BV 09/23 AU498880 | XS1881574591 | Frankreich | EUR | Bond | - | - | unknown | 0.0003086437 |
STANDARD CHARTERED BANK 11/22 | XS0858585051 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0003084994 |
STANDARD CHARTERED PLC FRN + 0.900% 2027-07-02 | XS2021467753 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003084807 |
0.75% INTESA SANPAOLO 12/24 | XS2089368596 | Italien | EUR | Bond | - | - | unknown | 0.0003082935 |
DBS GROUP HOLDINGS LTD 1.500% 2028-04-11 | XS1802465846 | Singapur | EUR | Bond | A2 | - | unknown | 0.0003082422 |
KBC GROUP NV 06/23 AS959282 | BE0002602804 | Belgien | EUR | Bond | - | - | unknown | 0.0003081848 |
ITALGAS SPA | XS2032727310 | Italien | EUR | Bond | - | - | unknown | 0.0003081757 |
DOVER CORPORATION | XS2010038730 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003081123 |
DEUTSCHE POST AG 12/27 AQ325740 | XS1734533372 | Deutschland | EUR | Bond | - | - | unknown | 0.0003080978 |
WHIRLPOOLEMEA FINANCE SARL 2/28 | XS2115092954 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000308026 |
BERLIN HYP AG | DE000BHY0GA7 | Deutschland | EUR | Bond | - | - | unknown | 0.0003079191 |
THERMO FISHER SCIENTIFIC 03/27 AM767812 | XS1578127778 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0003078222 |
FISERV INC 0.375% 2023-07-01 | XS1843434017 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003078086 |
NIBC BANK NV 1.125% 2023-04-19 | XS1809240515 | Niederlande | EUR | Bond | - | - | unknown | 0.0003077742 |
SUMITOMO MITSUI FIN GROUP 07/23 AT634324 | XS1839105662 | Japan | EUR | Bond | A1 | - | Financial | 0.0003076987 |
SANTAN CONSUMER FINANCE 05/23 AS688483 | XS1824235219 | Spanien | EUR | Bond | - | - | unknown | 0.0003076896 |
LEASEPLAN CORPORATION NV 1.000% 2023-05-02 | XS1814402878 | Niederlande | EUR | Bond | - | - | unknown | 0.0003076745 |
WESTFIELD MANAGEMENT LTD 03/23 EUR51727 | XS1383389670 | Australien | EUR | Bond | A1 | - | unknown | 0.0003076504 |
ELI LILLY+ CO | XS2075937370 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003075085 |
WPC EUROBOND BV 04/26 AU759595 | XS1843459600 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003074263 |
BBG01367YCY9 SKANDINAVISKA ENSKILDA BANK 26 0.75 11/31 | XS2404247384 | Schweden | EUR | Bond | - | - | unknown | 0.0003073886 |
JOHN DEERE CASH MANAGEMENT 09/23 AP078534 | XS1683495136 | Luxemburg | EUR | Bond | A2 | - | unknown | 0.0003073726 |
NYKREDIT REALKREDIT A/S 0.625% 2025-01-17 | DK0009522062 | Dänemark | EUR | Bond | - | - | unknown | 0.0003071311 |
VODAFONE GROUP PLC 01/24 EUR53237 | XS1499604905 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0003070314 |
BRITISH TELECOMMUNICATIONS 09/23 AU633778 | XS1886402814 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003068744 |
OP CORPORATE BANK PLC | XS1956022716 | Finnland | EUR | Bond | Aa3 | - | unknown | 0.0003066691 |
SODEXO SA 1/24 | XS2203995910 | Frankreich | EUR | Bond | - | - | unknown | 0.000306642 |
VONOVIA FINANCE BV 7/26 | DE000A28ZQP7 | Niederlande | EUR | Bond | - | - | unknown | 0.0003065997 |
NESTLE 05/23 EUR43744 | XS1319652902 | Schweiz | EUR | Bond | Aa2 | - | unknown | 0.0003065816 |
SUEZ JR SUBORDINA REGS 12/99 VAR 6/26 | FR0013445335 | Frankreich | EUR | Bond | - | - | unknown | 0.0003062857 |
RAIFFEISENBANK INTL 3/25 | XS2049823763 | Österreich | EUR | Bond | - | - | unknown | 0.0003062344 |
ISS FINANCE B.V. COMPANY GUAR REGS 07/25 1.25 7/25 | XS2199343513 | Dänemark | EUR | Bond | - | - | unknown | 0.0003060865 |
CREDIT AGRICOLE SA 12/22 EUR52335 | XS1425199848 | Frankreich | EUR | Bond | Aa3 | - | unknown | 0.00030602 |
BNZ INTERNATIONAL FUNDING L 05/23 AP909972 | XS1717012014 | Neuseeland | EUR | Bond | A1 | - | unknown | 0.0003058902 |
SVENSKA HANDELSBANKEN 07/23 AT088448 | XS1848875172 | Schweden | EUR | Bond | - | - | unknown | 0.0003058841 |
OP YRITYSPANKKI OYJ 0.375% 2024-06-19 | XS2014288158 | Finnland | EUR | Bond | Baa1 | - | unknown | 0.0003057815 |
WESTPAC SECURITIES NZ LTD (LONDON BRANCH) 0.300% 2024-06-25 | XS2016070430 | Neuseeland | EUR | Bond | - | - | unknown | 0.0003057603 |
AAREAL BANK AG 0.375% 2024-04-10 | DE000A2E4CQ2 | Deutschland | EUR | Bond | - | - | unknown | 0.0003056818 |
JYSKE BANK A/S 0.625% 2024-06-20 | XS2015231413 | Dänemark | EUR | Bond | - | - | Financial | 0.0003056033 |
NN GROUP NV 01/23 EUR54605 | XS1550988569 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0003054373 |
SANTANDERCONSUMER FINANCE SA | XS2078692105 | Spanien | EUR | Bond | - | - | unknown | 0.0003054101 |
BBG01135D444 AIR LIQUIDE SA 5/31 | FR0014003N69 | Frankreich | EUR | Bond | - | - | unknown | 0.0003052622 |
BBG00Y47R443 KLEPIERRE SA 2/31 | FR0014000KT3 | Frankreich | EUR | Bond | - | - | unknown | 0.0003052018 |
NATIONALE NEDERLANDEN BANK NV 0.375% 2023-05-31 | XS2004795725 | Niederlande | EUR | Bond | - | - | unknown | 0.0003051807 |
ILLINOIS TOOL WORKS INC 0.250% 2024-12-05 | XS1843435253 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Industrial | 0.0003051807 |
ALD SA | XS2029574634 | Frankreich | EUR | Bond | - | - | unknown | 0.0003049301 |
SPAREBANK1 OESTLANDET 9/24 | XS2057872595 | Norwegen | EUR | Bond | - | - | Financial | 0.0003047761 |
BARCLAYS PLC 11/22 AP887083 | XS1716820029 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003047308 |
TEREGA SA 9/30 | FR0013534500 | Frankreich | EUR | Bond | - | - | unknown | 0.0003047187 |
CONTI GUMMI FINANCE B.V. 9/24 | XS2193657561 | Niederlande | EUR | Bond | - | - | unknown | 0.0003043752 |
BANCO DE SABADELL SA | XS2076079594 | Spanien | EUR | Bond | - | - | unknown | 0.0003043292 |
SES SA | XS2075811781 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000304293 |
BBG00YVF1TH4 EXOR NV 1/31 | XS2283188683 | Niederlande | EUR | Bond | - | - | unknown | 0.0003042751 |
BBG011KC16T1 GECINA 6/36 | FR00140049A8 | Frankreich | EUR | Bond | - | - | unknown | 0.0003042688 |
WORLDLINE SA/FRANCE SR UNSECURED REGS 09/24 0.25 9/24 | FR0013448032 | Frankreich | EUR | Bond | - | - | unknown | 0.0003042568 |
SHINHAN BANK 10/24 0.25 10/24 ZQ0129879 | XS2058731717 | Süd Korea | EUR | Bond | - | - | unknown | 0.0003042296 |
DH EUROPE FINANCE SA 06/27 AO021212 | XS1637162592 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003040426 |
CA IMMOBILIEN ANLAGEN AG 27 0.875 2/27 | XS2099128055 | Österreich | EUR | Bond | - | - | unknown | 0.0003040394 |
0% SAP SE 5/23 | XS2176715311 | Deutschland | EUR | Bond | - | - | unknown | 0.0003038492 |
DE VOLKSBANK NV SR UNSECURED REGS 09/24 0.01 9/24 | XS2052503872 | Niederlande | EUR | Bond | A2 | - | unknown | 0.0003038039 |
BBG00Y3J7PG0 FERSM 0.54 11/12/28 11/28 | ES0205032040 | Spanien | EUR | Bond | - | - | unknown | 0.0003037646 |
ADIDAS AG 9/24 | XS2224621347 | Deutschland | EUR | Bond | - | - | unknown | 0.0003036892 |
VONOVIA FINANCE BV COMPANY GUAR REGS 04/23 0.125 4/23 | DE000A2R8NC5 | Deutschland | EUR | Bond | - | - | unknown | 0.0003036137 |
NATIONAL AUSTRALIA BANK LTD 11/23 EUR53627 | XS1517196272 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0003034981 |
OP CORPORATE BANK PLC | XS2078667925 | Finnland | EUR | Bond | - | - | Financial | 0.0003034838 |
BBG01135DM99 UNIBAIL-RODAMCO-WESTFIELD SE 5/33 | FR0014003MI6 | Frankreich | EUR | Bond | - | - | unknown | 0.0003034718 |
BBG012248WY7 BECTON DICKINSON AND CO 8/23 | XS2375836470 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003031547 |
1.875% MERLIN PROPERTIES SOCIMI 12/34 | XS2089229806 | Spanien | EUR | Bond | - | - | unknown | 0.0003027894 |
BBG00ZVJNS45 HEATHROW FUNDING LTD 10/30 | XS2328823104 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003027864 |
BBG00Z8WBDT1 DEUTSCHE BOERSE AG 2/26 | DE000A3H2457 | Deutschland | EUR | Bond | - | - | unknown | 0.0003027411 |
TYCO ELECTRONICS GROUP SA 2/25 | XS2114807691 | Schweiz | EUR | Bond | - | - | unknown | 0.0003027321 |
BBG0132LZT56 CREDIT MUTUEL ARKEA 10/31 | FR00140065E6 | Frankreich | EUR | Bond | - | - | unknown | 0.0003026898 |
ROYAL BANK OF SCOTLAND 06/23 AT001035 | XS1837997979 | Großbritannien (UK) | EUR | Bond | Baa2 | - | Financial | 0.0003025655 |
ASB FINANCE LTD 03/24 AX543264 | XS1962595895 | Neuseeland | EUR | Bond | - | - | unknown | 0.000302456 |
MET LIFE GLOB FUNDING I 6/27 | XS2189931335 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003024472 |
ZURICH FIN IE 1.625% 2039-06-17 | XS2013626010 | Irland | EUR | Bond | - | - | unknown | 0.0003023057 |
BBG013344YD7 DEUT PFANDBRIEFBANK A 10/25 | DE000A3T0X22 | Deutschland | EUR | Bond | - | - | unknown | 0.0003022731 |
NYKREDIT REALKREDIT AS | DK0009526998 | Dänemark | EUR | Bond | - | - | Financial | 0.0003021457 |
SNAM SPA | XS2358231798 | Italien | EUR | Bond | - | - | unknown | 0.000302101 |
BBG00ZNGWJ95 OP CORPORATE BANK PLC 3/26 | XS2320747285 | Finnland | EUR | Bond | - | - | unknown | 0.0003020799 |
SIMON INTERNATIONAL FINANCE 05/25 EUR52179 | XS1412281534 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0003019413 |
APRR SA 1/29 | FR0013534278 | Frankreich | EUR | Bond | - | - | unknown | 0.0003019289 |
BBG0113FYMR4 TELEFONAKTIEBOLAGET LM E SR UNSECURED REGS 05/29 1 5/29 | XS2345996743 | Schweden | EUR | Bond | - | - | unknown | 0.0003018474 |
BBG00ZN61PC3 NORDEA BANK ABP 3/31 | XS2321526480 | Finnland | EUR | Bond | - | - | unknown | 0.0003018444 |
BBG0130PZMB7 SOCIETE FONCIERE LYONNAI 4/28 | FR00140060E7 | Frankreich | EUR | Bond | - | - | unknown | 0.0003017448 |
BBG00ZJS8S19 COMMERZBANK AG 9/25 | DE000CB0HRY3 | Deutschland | EUR | Bond | - | - | unknown | 0.0003017116 |
ALSTRIA OFFICE REIT AG SR UNSECURED REGS 09/25 0.5 9/25 | XS2053346297 | Deutschland | EUR | Bond | - | - | unknown | 0.0003016904 |
SOLVAY SA .50000% BEEUR 06/09/29 EUR 9/29 | BE6315847804 | Belgien | EUR | Bond | - | - | unknown | 0.0003016059 |
ICADE SANESAS | FR0013457967 | Frankreich | EUR | Bond | - | - | unknown | 0.0003015847 |
UNIBAIL 06/26 | XS1074055770 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0003013411 |
BBG011C6QXD4 RAIFFEISEN BANK INTERNATIONAL 6/33 | XS2353473692 | Österreich | EUR | Bond | - | - | unknown | 0.0003013221 |
BBG012TRY826 CNP ASSURANCES 10/53 | FR0014005X99 | Frankreich | EUR | Bond | - | - | unknown | 0.0003012436 |
BBG011F4BN17 COLSM 0.75 06/22/29 EMTN 6/29 | ES0239140025 | Spanien | EUR | Bond | - | - | unknown | 0.0003012285 |
NE PROPERTY COOPERATIEF UA 11/24 AP869434 | XS1722898431 | Niederlande | EUR | Bond | - | - | unknown | 0.0003012239 |
BBG011BX9KP0 CARREFOUR BANQUE SA 6/25 | FR0014003Z81 | Frankreich | EUR | Bond | - | - | unknown | 0.0003011983 |
BBG0105TP4T2 NYKREDIT REALKREDIT AS SUBORDINATED REGS 07/31 VAR 7/31 | DK0030487996 | Dänemark | EUR | Bond | - | - | unknown | 0.0003010896 |
BBG012QZX9R3 AMERICAN TOWER CORP 30 0.95 10/30 | XS2393701953 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003008933 |
COCA COLA EUROPEAN PARTN SR UNSECURED REGS 03/26 1.75 3/26 | XS2134245138 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003008926 |
BBG011PLK1J7 WESTPAC SEC NZ/LONDON 7/27 | XS2362968906 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0003007983 |
BBG012Q9D8Z6 MCDONALD SCORP 10/33 | XS2393236695 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003006488 |
BBG012PLLQW4 ARVAL SERVICE LEASE SR UNSECURED REGS 10/25 0.0000 10/25 | FR0014005OL1 | Frankreich | EUR | Bond | - | - | unknown | 0.0003005763 |
CREDIT MUTUEL ARKEA SA 1/26 | FR00140007B4 | Frankreich | EUR | Bond | - | - | unknown | 0.0003005461 |
BBG011F4BTZ7 DEVOBA 0.25 06/22/26 EMTN 6/26 | XS2356091269 | Niederlande | EUR | Bond | - | - | unknown | 0.0003002804 |
BBG00ZF99BM8 EQUINIX INC SR UNSECURED 03/27 0.25 3/27 | XS2304340263 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0003001808 |
SYDNEY AIRPORT FINANCE COMPANY PTY LTD 1.750% 2028-04-26 | XS1811198701 | Australien | EUR | Bond | Baa1 | - | unknown | 0.0002996715 |
BBG012HPV8N3 NN BANK NVNETHERLANDS 9/28 | XS2388449758 | Niederlande | EUR | Bond | - | - | unknown | 0.0002996615 |
DAIMLER AG | DE000A2YNZY4 | Deutschland | EUR | Bond | - | - | unknown | 0.0002996326 |
PROLOGIS EURO FINANCE 35 1.0 2/35 | XS2112475921 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0002996253 |
BBG00ZF9H7L9 DSV PANALPINA FINANCE BV 3/31 | XS2308616841 | Niederlande | EUR | Bond | - | - | unknown | 0.0002995725 |
BBG00ZNQB9G0 VONOVIA SE 3/31 | DE000A3E5FR9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002995468 |
BBG012Q9D8X8 MCDONALD SCORP 10/28 | XS2393236000 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002994381 |
BBG012HPGFZ1 AIR LIQUIDE FINANCE 9/33 | FR0014005HY8 | Frankreich | EUR | Bond | - | - | unknown | 0.0002993656 |
DS SMITH PLC 07/24 AO366700 | XS1652512457 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002993645 |
BECTON DICKINSON & CO 12/26 EUR53812 | XS1531347661 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002993045 |
BBG011K2PYF1 LEG IMMOBILIEN S 6/31 | DE000A3E5VK1 | Deutschland | EUR | Bond | - | - | unknown | 0.000299269 |
BBG013F2NBM7 ERSTE GROUP BANK AG 11/32 | AT0000A2U543 | Österreich | EUR | Bond | - | - | unknown | 0.0002992116 |
BBG00Y777941 VINCI SA 11/28 | FR0014000PF1 | Frankreich | EUR | Bond | - | - | unknown | 0.0002990939 |
BBG00ZVJ7VF4 HOLCIM FINANCE LUXEMBOURG SA 4/30 | XS2328418186 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002990154 |
BBG011WQ4P94 ALSTOM SA 7/27 | FR0014004QX4 | Frankreich | EUR | Bond | - | - | unknown | 0.0002988584 |
BBG011C6HKR7 JDE PEETS NV 6/33 | XS2354444379 | Niederlande | EUR | Bond | - | - | unknown | 0.0002988252 |
BBG012QZZQL9 BELFIUS BANK SA 29 1.25 4/34 | BE6331190973 | Belgien | EUR | Bond | - | - | unknown | 0.0002986833 |
BBG010VBRBZ7 SAGAX EURO MTN NL BV 5/29 | XS2342227837 | Niederlande | EUR | Bond | - | - | unknown | 0.0002986561 |
BBG00Z9060R6 SANTAN CONSUMER FINANCE 2/26 | XS2305600723 | Spanien | EUR | Bond | - | - | unknown | 0.0002986229 |
BBG00Y99V895 TELEPERFORMANCE 11/27 | FR0014000S75 | Frankreich | EUR | Bond | - | - | unknown | 0.0002985383 |
BBG012C58MR3 CESSPO V0.5 09/13/28 EMTN 9/28 | AT0000A2STV4 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0002984719 |
BBG00ZF977M9 DE VOLKSBANK NV 03/28 0.375 3/28 | XS2308298962 | Niederlande | EUR | Bond | - | - | unknown | 0.000298013 |
EATON CAPITAL UNLIMITED CO 09/24 EUR53119 | XS1492685885 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0002978934 |
BMW FINANCE NV | XS2102357105 | Deutschland | EUR | Bond | - | - | unknown | 0.0002978617 |
UNILEVER NV 09/30 AU272083 | XS1873209172 | Niederlande | EUR | Bond | - | - | unknown | 0.0002977896 |
BBG00Z3T3Z68 BELFIUS BANK SA/NV 2/28 | BE6326784566 | Belgien | EUR | Bond | - | - | unknown | 0.0002977745 |
VONOVIA FINANCE BV 9/29 | DE000A2R7JD3 | Deutschland | EUR | Bond | - | - | unknown | 0.0002975631 |
CIE GENERALE DES ESTABLI 11/28 | FR0014000D31 | Frankreich | EUR | Bond | - | - | unknown | 0.0002975269 |
INVESTOR AB 09/30 AU366872 | XS1877654126 | Schweden | EUR | Bond | - | - | unknown | 0.0002974037 |
BBG00XY96Q60 ABBVIE INC 11/28 | XS2125914833 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002972957 |
WESTPAC BANKING CORP 11/24 AP889984 | XS1722859532 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0002971505 |
BBG010J1SP81 ORANGE SA JR SUBORDINA REGS 12/99 VAR | FR0014003B55 | Frankreich | EUR | Bond | - | - | unknown | 0.0002971404 |
BBG012F41BD9 ERSTE GROUP 0.25% 14SEP2029 9/29 | AT0000A2SUH1 | Österreich | EUR | Bond | - | - | unknown | 0.0002971042 |
BBG00Y79KH53 AAREAL BANK AG 11/27 0.25 11/27 | DE000A289LU4 | Deutschland | EUR | Bond | - | - | unknown | 0.0002967208 |
UNIQA VERSICHERUNGEN AG 07/26 EUR40085 | XS1117293107 | Österreich | EUR | Bond | Baa2 | - | Financial | 0.0002967129 |
BBG012NV8PB4 LINDE PLC SR UNSECURED REGS 09/33 0.375 9/33 | XS2391861064 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002967027 |
BBG011MCVVD8 CAISSE NAT REASS SUBORDINATED REGS 07/28 0.75 7/28 | FR0014004EF7 | Frankreich | EUR | Bond | - | - | unknown | 0.0002966513 |
BBG00ZNGYB27 LEG IMMOBILIEN SE 3/33 | DE000A3H3JU7 | Deutschland | EUR | Bond | - | - | unknown | 0.0002965547 |
BBG00YFCBC85 GRAND CITY PROPERTIES SA | XS2271225281 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002964641 |
AVIVA PLC 07/24 | XS1083986718 | Großbritannien (UK) | EUR | Bond | A3 | - | Financial | 0.0002963684 |
VICINITY CENTRES | XS2071382662 | Australien | EUR | Bond | - | - | unknown | 0.0002962661 |
BBG0105TSGY6 FOMENTO ECONOMICO MEX SR UNSECURED 05/33 1 5/33 | XS2337285865 | Mexiko | EUR | Bond | - | - | unknown | 0.0002961592 |
BBG012D8S975 AEDIFICA SA 9/31 | BE6330288687 | Belgien | EUR | Bond | - | - | unknown | 0.0002960414 |
VF CORP 2/32 | XS2123970241 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Cyclical | 0.0002959629 |
BBG01290SM50 AAREAL BANK AG 9/26 | DE000AAR0298 | Deutschland | EUR | Bond | - | - | unknown | 0.000295821 |
CIE GENERALE DES ESTABLI 11/40 | FR0014000D56 | Frankreich | EUR | Bond | - | - | unknown | 0.0002957788 |
BBG011979C32 NESTLE FINANCE INTERNATIONAL L 2/34 | XS2350746215 | Luxemburg | EUR | Bond | - | - | unknown | 0.000295769 |
VIER GAS TRANSPORT GMBH | XS2049090595 | Deutschland | EUR | Bond | - | - | unknown | 0.0002955523 |
COCA-COLA EUROPEAN PARTNERS 05/24 EUR52284 | XS1415535340 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0002951216 |
BBG00Z5YVLX5 ITALGAS SPA SR UNSECURED REGS 02/33 0.5 2/33 | XS2299002423 | Italien | EUR | Bond | - | - | unknown | 0.0002949069 |
BBG00ZTY3002 LSEG NETHERLANDS BV 4/28 | XS2327299298 | Niederlande | EUR | Bond | - | - | unknown | 0.0002947453 |
BBG00YD48QB4 CNP ASSURANCES 03/28 0.375 3/28 | FR0014000XY6 | Frankreich | EUR | Bond | - | - | unknown | 0.0002943929 |
GLAXOSMITHKLINE CAP PLC 09/29 AP029029 | XS1681520356 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002943794 |
NOVARTIS FINANCE SA 09/27 AN001821 | XS1585010074 | Schweiz | EUR | Bond | Aa3 | - | unknown | 0.0002941713 |
BBG0118Y2QW8 ACEF HOLDING SCA COMPANY GUAR REGS 06/28 0.75 6/28 | XS2351301499 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002941683 |
THERMO FISHER SCIENTIFIC 09/28 EUR53053 | XS1405775534 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002938797 |
BBG00ZS96RX0 FRESENIUS FINANCE IRELAND PLC 10/31 | XS2325562697 | Irland | EUR | Bond | - | - | unknown | 0.0002936919 |
SCENTRE MANAGEMENT LTD 1.750% 2028-04-11 | XS1806368897 | Australien | EUR | Bond | A2 | - | unknown | 0.00029345 |
BBG00YTZZ6Y7 ICADE 1/31 | FR0014001IM0 | Frankreich | EUR | Bond | - | - | unknown | 0.0002923429 |
BBG00Z0D27X9 GROUPE BRUXELLES LAMBERT SA 1/31 | BE0002767482 | Belgien | EUR | Bond | - | - | unknown | 0.0002919625 |
BBG00YV02533 AROUNDTOWN SA | XS2287744721 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002918508 |
LEASEPLANCORPORATION NV 4/25 | XS2155365641 | Niederlande | EUR | Bond | - | - | unknown | 0.0002912121 |
BBG011Y5Q7Q5 NASDAQ INC 7/33 | XS2369906644 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000291168 |
BBG012GK4S88 ADECCO INTFINANCIAL SVS 9/28 | XS2386592484 | Niederlande | EUR | Bond | - | - | unknown | 0.0002904698 |
RELX FINANCE BV 1.500% 2027-05-13 | XS1793224632 | Niederlande | EUR | Bond | - | - | unknown | 0.0002903686 |
SWITZERLAND 4/32 | XS2126170161 | Schweiz | EUR | Bond | - | - | unknown | 0.0002900941 |
BBG012GK4SF0 ADECCO INTFINANCIAL SVS | XS2388141892 | Niederlande | EUR | Bond | - | - | unknown | 0.0002900023 |
NATIONAL AUSTRALIA BANK LTD 1.125% 2031-05-20 | XS1998798042 | Australien | EUR | Bond | - | - | Financial | 0.0002898646 |
YORKSHIREBUILDING SOC 9/25 | XS2231267829 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000289847 |
BBG00Y5Z4CQ3 NYKREDIT REALKREDIT AS 1/26 | DK0030467105 | Dänemark | EUR | Bond | - | - | unknown | 0.0002896025 |
BBG0118XRT66 MITSUBISHI UFJ FINANCIAL GROUP 6/27 | XS2349788377 | Japan | EUR | Bond | - | - | unknown | 0.000289359 |
SAMPO OYJ FRN + 3.375% 2049-05-23 | XS1995716211 | Finnland | EUR | Bond | - | - | unknown | 0.0002883478 |
RICHEMONT INTERNATIONAL HOLDING SA 5/28 | XS2170736180 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002878771 |
BBG00YRDY8G5 BMW FINANCE NV 1/33 | XS2280845145 | Niederlande | EUR | Bond | - | - | unknown | 0.0002876744 |
NETHERLANDS 4/30 | XS2159887590 | Niederlande | EUR | Bond | - | - | unknown | 0.0002875119 |
BBG00Z3T4X44 TYCO ELECTRONICS GROUP SA 2/29 | XS2297190097 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002872801 |
BBG010J1RYQ3 COCA COLA CO/THE 5/36 | XS2339399359 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002868118 |
UNIBAIL 03/26 EUR51588 | XS1376614118 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002859367 |
VOLVO TREASURY AB 9/24 | XS2230884657 | Schweden | EUR | Bond | - | - | unknown | 0.0002857062 |
MERLIN PROPERTIES SOCIMI SA 05/25 AN647021 | XS1619643015 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0002855318 |
FASTIGHETS AB BALDER 01/26 AO868478 | XS1677912393 | Schweden | EUR | Bond | - | - | unknown | 0.0002852057 |
CONTINENTAL AG SR UNSECURED REGS 09/23 0.0000 9/23 | XS2051667181 | Deutschland | EUR | Bond | - | - | unknown | 0.0002847583 |
BBG012GK4SC3 ADECCO INTFINANCIAL SVS 9/31 | XS2386592567 | Niederlande | EUR | Bond | - | - | unknown | 0.0002842143 |
DEUTSCHE BANK AG 6/26 | DE000DL19VD6 | Deutschland | EUR | Bond | - | - | unknown | 0.0002842085 |
PERKINELMER INC 07/26 EUR52739 | XS1405780617 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0002840834 |
SWITZERLAND 4/27 | XS2126169742 | Schweiz | EUR | Bond | - | - | unknown | 0.0002838471 |
FRESENIUS MEDICAL CARE AG & CO | XS2084488209 | Deutschland | EUR | Bond | - | - | unknown | 0.0002837737 |
FISERV INC 1.125% 2027-07-01 | XS1843434280 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002824939 |
GOODMAN AUSTRALIA FINANCE 09/25 AP237516 | XS1577951129 | Australien | EUR | Bond | - | - | unknown | 0.0002824259 |
BBG010ZXVTY2 DANA FINANCING LUXEMBOURG SARL 7/29 | XS2345315142 | Finnland | EUR | Bond | - | - | unknown | 0.0002822523 |
FEDEX CORP | XS2034626460 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002817606 |
CARGILL INC 02/23 | XS1031019562 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0002815102 |
LANXESS AG 11/22 | XS0855167523 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0002811838 |
VERIZON COMMUNICATIONS SR UNSECURED 09/39 1.5 9/39 | XS2052321093 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002808852 |
LONZA FINANCE INTL NV COMPANY GUAR REGS 04/27 1.625 4/27 | BE6321076711 | Belgien | EUR | Bond | - | - | unknown | 0.0002807404 |
SCOR 05/28 EUR52325 | FR0013179314 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002806989 |
LG CHEM LTD 0.500% 2023-04-15 | XS1972557737 | Süd Korea | EUR | Bond | - | - | unknown | 0.0002801218 |
VF CORP 2/28 | XS2123970167 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Consumer, Cyclical | 0.0002797066 |
FIDELITY NATIONAL INFORM 07/24 AO113946 | XS1640492994 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002793717 |
0.875% COVESTRO AG 2/26 | XS2188805688 | Deutschland | EUR | Bond | - | - | unknown | 0.000279369 |
CORPORACION MAPFRE 09/28 AU313549 | ES0224244097 | Spanien | EUR | Bond | - | - | unknown | 0.0002793101 |
OTE PLC | XS2055106137 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002792277 |
BBG012D91TV1 JR-EAST 0.773% 15SEP2034 9/34 | XS2385121582 | Japan | EUR | Bond | - | - | unknown | 0.000279144 |
HELLA GMBH + CO KGAA | XS2047479469 | Deutschland | EUR | Bond | - | - | unknown | 0.0002780272 |
GECINA 06/32 AO132447 | FR0013266368 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002777208 |
WOLTERS KLUWER NV 7/30 | XS2198580271 | Niederlande | EUR | Bond | - | - | unknown | 0.0002775429 |
1.375% COVESTRO AG 6/30 | XS2188805845 | Deutschland | EUR | Bond | - | - | unknown | 0.0002775308 |
ILLINOIS TOOL WORKS INC 05/23 452308AV | XS1234953575 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0002774098 |
KRAFT FOODS INC 03/35 EUR36957 | XS1197273755 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.000277257 |
EASYJET PLC 10/23 EUR53392 | XS1505884723 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0002769234 |
BBG00ZHXYGN3 MONDELEZ INTERNATIONAL 3/33 | XS2312723138 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002767861 |
EASYJET PLC 02/23 EUR50535 | XS1361115402 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0002767087 |
MONDELEZ INTL HLDINGS NE 10/31 | XS2056374353 | Niederlande | EUR | Bond | - | - | unknown | 0.0002764685 |
NESTLE 01/24 AP670909 | XS1707074941 | Schweiz | EUR | Bond | - | - | unknown | 0.0002759044 |
FOERENINGSBANKEN AB 08/23 AU145658 | XS1870225338 | Schweden | EUR | Bond | - | - | unknown | 0.000275706 |
SAMPO OYJ 02/28 AR286126 | XS1775786574 | Finnland | EUR | Bond | - | - | unknown | 0.0002753982 |
MOTABILITY OPERATIONS GROUP PLC 0.375% 2026-01-03 | XS2021471433 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0002752957 |
ABB FINANCE BV 05/23 EUR52067 | XS1402941790 | Schweiz | EUR | Bond | A3 | - | Industrial | 0.0002752278 |
MONDELEZ INTERNATIONAL HOLDING 9/26 | XS2235986929 | Niederlande | EUR | Bond | - | - | unknown | 0.0002751775 |
KONINKLIJKE DSM N.V. 6/32 | XS2193979254 | Niederlande | EUR | Bond | - | - | unknown | 0.0002750892 |
MITSUBISHI UFJ FINANCIAL GR 01/23 AQ852075 | XS1758752635 | Japan | EUR | Bond | - | - | Financial | 0.0002750077 |
WESTPAC BANKING CORP 03/23 AO918040 | XS1676933937 | Australien | EUR | Bond | Aa3 | - | Financial | 0.0002746517 |
DSV PANALPINA A S SR UNSECURED REGS 02/27 0.375 2/27 | XS2125426796 | Dänemark | EUR | Bond | - | - | unknown | 0.0002745457 |
SIEMENS FINANCIERINGSMAT | XS2049616548 | Niederlande | EUR | Bond | - | - | unknown | 0.0002734181 |
GROUPAMA SA 09/28 AU556291 | FR0013365640 | Frankreich | EUR | Bond | - | - | Financial | 0.0002733658 |
AG INSURANCE SA/NV 06/27 EUR37870 | BE6277215545 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.0002733127 |
PROLOGIS 06/26 | XS1072516690 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0002732813 |
MIZUHO FINANCIAL GROUP INC 9/24 | XS2049630887 | Japan | EUR | Bond | - | - | unknown | 0.0002731192 |
BBG012D8ZDC2 MONDELEZ INTL HLDGS NETH B V 9/29 | XS2384723263 | Niederlande | EUR | Bond | - | - | unknown | 0.0002730137 |
SWITZERLAND 4/25 | XS2156244043 | Schweiz | EUR | Bond | - | - | unknown | 0.000272928 |
AUSTRALIA 4/30 | XS2160857798 | Australien | EUR | Bond | - | - | unknown | 0.0002723265 |
HBOS PLC 03/25 | XS0214965534 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0002718538 |
JOHNSON CONTROLS INTERNATIONAL 9/27 | XS2231330965 | Irland | EUR | Bond | - | - | unknown | 0.000271842 |
AGEAS NV FRN + 3.250% 2049-07-02 | BE0002644251 | Belgien | EUR | Bond | - | - | unknown | 0.0002716292 |
AUTOROUTES PARIS-RHIN-RH 01/32 AN805479 | FR0013260551 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.000271506 |
DOW CHEMICAL CO/THE SR UNSECURED 03/40 1.875 3/40 | XS2122933695 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002710622 |
DANICA PENSION 09/25 EUR42068 | XS1117286580 | Dänemark | EUR | Bond | Baa1 | - | Financial | 0.0002710495 |
BBG00YC48RJ5 STORA ENSO OYJ 12/30 | XS2265360359 | Finnland | EUR | Bond | - | - | unknown | 0.0002709698 |
EXOR SPA 12/22 EUR44883 | XS1329671132 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0002709343 |
BBG013G9Y631 STANDARD CHARTERED PLC 11/29 | XS2407969885 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002704018 |
PEPSICO INC 04/26 | XS1061714165 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | Consumer, Non-cyclical | 0.0002699553 |
SOCIETA INIZ AUTOSTRADAL 02/28 AQ887974 | XS1765875718 | Italien | EUR | Bond | - | - | unknown | 0.0002697307 |
FEDEX CORP | XS2034629134 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002697205 |
VONOVIA FINANCE BV COMPANY GUAR REGS 04/30 2.25 4/30 | DE000A28VQD2 | Deutschland | EUR | Bond | - | - | unknown | 0.0002696727 |
BBG010RS38Y9 EQT AB 5/31 | XS2338570331 | Schweden | EUR | Bond | - | - | unknown | 0.0002693883 |
AMPHENOL TECH HLDS GMBH 10/28 AU590971 | XS1843459436 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002691147 |
XL GROUP LTD 06/27 AO083869 | XS1633784183 | Kaiman Inseln | EUR | Bond | Baa3 | - | unknown | 0.0002688225 |
BBG012NVDCJ9 COMPUTERSHARE US INC 31 1.125 10/31 | XS2393323667 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002688177 |
RELX FINANCE BV COMPANY GUAR REGS 03/32 0.875 3/32 | XS2126162069 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000268502 |
BELFIUS BANK SA 05/26 EUR52114 | BE0002251206 | Belgien | EUR | Bond | Baa3 | - | unknown | 0.0002680979 |
UNIQA VERSICHERUNGEN AG 07/23 | XS0808635436 | Österreich | EUR | Bond | Baa2 | - | unknown | 0.0002680858 |
TELEFONICA EMISIONES SA 7/40 | XS2197675288 | Spanien | EUR | Bond | - | - | unknown | 0.0002680302 |
CYRUSONE LP/CYRUSONE FIN COMPANY GUAR 01/27 1.45 | XS2089972629 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002679892 |
VONOVIA FINANCE BV 2.125% 2030-03-22 | DE000A19X8B2 | Deutschland | EUR | Bond | - | - | unknown | 0.0002676969 |
BARRY CALLEBAUT SERVICES NV 5/24 | BE6286963051 | Belgien | EUR | Bond | Ba1 | - | unknown | 0.0002673663 |
RENTOKIL INITTAL PLC 10/28 | XS2242921711 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002672704 |
EMERSON ELECTRIC CO 0.375% 2024-05-22 | XS1999902502 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002672187 |
AUSNET SERVICES HOLDINGS 8/30 | XS2118213888 | Australien | EUR | Bond | - | - | unknown | 0.0002671797 |
SOCIETA INIZ AUTOSTRADAL 02/24 | XS1032529205 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0002671143 |
AVIVA PLC 11/27 AV524554 | XS1908273219 | Großbritannien (UK) | EUR | Bond | A2 | - | unknown | 0.0002670085 |
COCA-COLA ENTERPRISES PLC 03/30 EUR37433 | XS1206411230 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0002669578 |
AIR PRODUCTS AND CHEMICALS INC 5/32 | XS2166122486 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002666684 |
DEUTSCHE ANNINGTON FINANCE 03/25 EUR37733 | DE000A1ZY989 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002666275 |
BANQUE FED CRED MUTUEL 05/28 AS686164 | XS1824240136 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0002666003 |
GECINA SA 1.625% 2030-03-14 | FR0013322989 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0002661921 |
LONDON STOCK EXCH GROUP PLC 09/29 AO938585 | XS1685653211 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002658467 |
BBG012JGJKK1 SEGRO CAPITAL SARL 9/31 | XS2360041474 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002658232 |
SAMPO OYJ 09/30 AU673463 | XS1888184121 | Finnland | EUR | Bond | - | - | unknown | 0.0002657783 |
DEUTSCHE BOERSE AG 10/25 EUR42384 | DE000A1684V3 | Deutschland | EUR | Bond | Aa2 | - | unknown | 0.0002657491 |
CNP ASSURANCES 11/24 EUR33702 | FR0012317758 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0002654893 |
HANNOVER RUECK SE 06/25 EUR32777 | XS1109836038 | Deutschland | EUR | Bond | A2 | - | Financial | 0.000265424 |
SANOFI-AVENTIS 03/34 AX664697 | FR0013409851 | Frankreich | EUR | Bond | - | - | unknown | 0.0002653781 |
AVIVA PLC 07/23 | XS0951553592 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0002653685 |
TELIASONERA AB 02/35 EUR36767 | XS1193213953 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0002651704 |
MINNESOTA MINING & MFG 06/31 EUR52309 | XS1421915049 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0002651076 |
TELE2 AB 05/28 AV193368 | XS1907150780 | Schweden | EUR | Bond | - | - | unknown | 0.0002648661 |
UNITED PARCEL SERVICE INC 11/32 AP935802 | XS1717441726 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002648042 |
BBG010Z1G580 VOLVO TREASURY AB 5/26 | XS2342706996 | Schweden | EUR | Bond | - | - | unknown | 0.0002646852 |
MICHELIN (C.G.D.E.) 05/27 EUR38753 | XS1233734562 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002643419 |
SUMITOMO MITSUI FIN GROUP 10/24 AP238210 | XS1694219780 | Japan | EUR | Bond | A1 | - | Financial | 0.0002641795 |
FRESENIUS SE & CO KGAA 02/29 AW506585 | XS1936208419 | Deutschland | EUR | Bond | - | - | unknown | 0.0002639457 |
SERVICIOS MEDIO AMBIENTE COMPANY GUAR REGS 12/23 0.815 | XS2081491727 | Spanien | EUR | Bond | - | - | unknown | 0.0002638289 |
SAP SE 1.375% 2030-03-13 | DE000A2G8VU3 | Deutschland | EUR | Bond | - | - | unknown | 0.0002636898 |
BBG00ZF97XP9 SPAREBANK 1 OSTLANDET 03/28 0.125 3/28 | XS2308586911 | Norwegen | EUR | Bond | - | - | unknown | 0.00026297 |
BRITISH SKY BROADCASTING 11/25 EUR43908 | XS1321424670 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.0002628589 |
EDENRED 03/27 AM941942 | FR0013247202 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002624797 |
COMMERZBANK AG 05/24 AN646551 | DE000CZ40L63 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002622153 |
COCA-COLA EUROPEAN PARTNERS 05/28 EUR52285 | XS1415535696 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.000261772 |
NOVARTIS FINANCE SA 09/28 EUR53121 | XS1492825481 | Schweiz | EUR | Bond | Aa3 | - | unknown | 0.0002616092 |
RAIFFEISEN BANK INT. 6/32 | XS2189786226 | Österreich | EUR | Bond | - | - | unknown | 0.0002615425 |
TERNA SPA SR UNSECURED REGS 09/30 0.375 9/30 | XS2237901355 | Italien | EUR | Bond | - | - | unknown | 0.0002614809 |
COCA-COLA ENTERPRISES PLC 05/25 | XS0926785808 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0002613855 |
REN FINANCE BV 02/25 EUR36612 | XS1189286286 | Portugal | EUR | Bond | Baa3 | - | unknown | 0.0002613106 |
MEDIOBANCA BANCA DI CREDITO FI 07/25 ACI1D6096 | XS2027957815 | Italien | EUR | Bond | - | - | unknown | 0.0002611476 |
BNP PARIBAS SA 1.000% 2024-04-17 | XS1808338542 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0002608965 |
PROCTER & GAMBLE CO 10/29 AP690858 | XS1708193815 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.000260888 |
HANNOVER FINANCE SA 06/23 | XS0856556807 | Deutschland | EUR | Bond | A2 | CDAX Index | unknown | 0.0002608638 |
AEGON NV 04/24 | XS1061711575 | Niederlande | EUR | Bond | Baa1 | - | Financial | 0.0002608614 |
MOODYS CORPORATION 03/27 EUR36990 | XS1117298163 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0002608131 |
GREAT-WEST LIFECO INC 12/26 EUR53748 | XS1528141788 | Kanada | EUR | Bond | A1 | - | unknown | 0.0002603783 |
MEDIOBANCA DI CRED FIN SR UNSECURED REGS 04/25 1.125 | XS2106861771 | Italien | EUR | Bond | - | - | unknown | 0.000260052 |
TOTAL INFRASTRUCTURES GAZ 08/25 EUR40299 | FR0012881555 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002598952 |
ELIA SYSTEM OP SA/NV 09/28 AU217387 | BE0002596741 | Belgien | EUR | Bond | - | - | unknown | 0.0002598518 |
EXOR SPA 10/24 EUR33136 | XS1119021357 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0002598469 |
AXA SA 05/28 EUR52183 | XS1410426024 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002597092 |
MCDONALD'S CORP 11/29 AQ125557 | XS1725633413 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002595836 |
PINAULT PRINTEMPS REDOUTE 04/24 EUR26332 | FR0011832039 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002594146 |
FRANCE TELECOM 09/27 AM714681 | FR0013241676 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0002594001 |
TRANSURBAN FINANCE CMPNY 03/28 AO953984 | XS1681520786 | Australien | EUR | Bond | - | - | unknown | 0.000259388 |
WHIRLPOOL FINANCE LUXEMBOUR 11/26 EUR53585 | XS1514149159 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0002592971 |
UNIBAIL 04/36 EUR52026 | XS1401197253 | Frankreich | EUR | Bond | A2 | - | Financial | 0.0002592914 |
WENDEL INVESTISSEMENT 10/24 EUR33086 | FR0012199156 | Frankreich | EUR | Bond | Baa3 | - | unknown | 0.0002592672 |
DAIMLERCHRYSLER NORTH AMER 02/27 AT830160 | DE000A194DE7 | Niederlande | EUR | Bond | - | - | unknown | 0.0002592165 |
DEUTSCHE ANNINGTON FINANCE 01/27 EUR54689 | DE000A19B8E2 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002590136 |
PRAXAIR INC 12/25 EUR33909 | XS1143916465 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0002588953 |
KLEPIERRE SA 02/26 EUR51452 | FR0013121753 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002587503 |
VODAFONE GROUP PLC 07/27 AO425153 | XS1652855815 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.000258661 |
AROUNDTOWN SA 2.000% 2026-11-02 | XS1815135352 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0002585088 |
UNIBAIL 05/37 AN646290 | XS1619568998 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002584098 |
COMMERZBANK AG 02/28 AR405462 | DE000CZ40MM4 | Deutschland | EUR | Bond | - | - | unknown | 0.0002583421 |
BERLIN HYP AG 1.500% 2028-04-18 | DE000BHY0GB5 | Deutschland | EUR | Bond | - | - | Financial | 0.0002579702 |
MANPOWER INC 06/26 AS929206 | XS1839680680 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002578953 |
BNP PARIBAS 11/25 AV645477 | FR0013381704 | Frankreich | EUR | Bond | - | - | unknown | 0.0002577987 |
MEDIOBANCA BANCA DI CREDITO FI | XS2090859252 | Italien | EUR | Bond | - | - | unknown | 0.0002577694 |
JOHNSON CONTROLS INTERNATIONAL 9/32 | XS2231331344 | Irland | EUR | Bond | - | - | unknown | 0.0002577238 |
DELPHI AUTOMOTIVE PLC 09/28 EUR52999 | XS1485603747 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002575644 |
DANSKE BANK A/S 03/24 AX644233 | XS1963849440 | Dänemark | EUR | Bond | - | - | unknown | 0.0002574675 |
PPG INDUSTRIES INC 03/27 EUR37255 | XS1202213291 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0002573277 |
WEST RETAIL TRUST 1 09/23 | XS0969523843 | Australien | EUR | Bond | A2 | - | unknown | 0.0002570741 |
SOCIETE FONCIERE LYONNAI 06/27 1.5 6/27 | FR0013515871 | Frankreich | EUR | Bond | - | - | unknown | 0.0002569219 |
BARCLAYS BANK PLC 06/24 | XS1075218799 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0002568277 |
HEATHROW FUNDING LTD 07/32 AO148278 | XS1641623381 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.000256789 |
BBG00Y5Z9814 CROMWELL EREIT LUX FINCO SARL 11/25 | XS2258986269 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002564054 |
ATF NETHERLANDS BV 01/26 AO339051 | XS1649193403 | Deutschland | EUR | Bond | - | - | unknown | 0.0002563519 |
DEUTSCHE ANNINGTON FINANCE 01/28 AQ658939 | DE000A19UR79 | Deutschland | EUR | Bond | - | - | unknown | 0.0002561876 |
SCENTRE GROUP TRUST 1/2 03/29 AX751744 | XS1968706520 | Australien | EUR | Bond | - | - | unknown | 0.0002561731 |
AUS PAC AIR (MELBOURNE) 09/23 | XS0974122516 | Australien | EUR | Bond | A3 | - | unknown | 0.0002561466 |
CNH INDUSTRIAL FINANCE EUROPE SA 1.625% 2029-07-03 | XS2022084367 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002560741 |
PEPSICO INC | XS2064302735 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002558952 |
UNIBAIL 05/29 AN646273 | XS1619568303 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002556031 |
DEUTSCHE ANNINGTON FINANCE 06/25 AW851657 | DE000A2RWZZ6 | Deutschland | EUR | Bond | - | - | unknown | 0.0002554992 |
SCENTRE MANAGEMENT LTD 07/24 EUR29497 | XS1087816374 | Australien | EUR | Bond | A1 | - | unknown | 0.0002554582 |
BBG0132LDHN6 ACEF HOLDING SCA COMPANY GUAR REGS 04/30 1.25 4/30 | XS2401704189 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002554083 |
LINDE FINANCE BV 05/24 | XS1069836077 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0002552263 |
SUMITOMO MITSUI FIN GROUP 06/27 AN720007 | XS1621087516 | Japan | EUR | Bond | A1 | - | unknown | 0.0002551273 |
KLEPIERRE SA 02/27 AM465806 | FR0013238045 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002551055 |
BBG00Y8QCXG6 NESTLE FINANCE INTERNATIONAL LTD 3/33 | XS2263684776 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002550654 |
SERVICIOS MEDIO AMBIENTE 12/26 1E 06 | XS2081500907 | Spanien | EUR | Bond | - | - | unknown | 0.000254992 |
NYKREDIT REALKREDIT AS | DK0009525404 | Dänemark | EUR | Bond | - | - | unknown | 0.0002549163 |
STANDARD CHARTERED BANK 10/26 AP306652 | XS1693281617 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002546321 |
IMERYS SA 01/27 EUR54621 | FR0013231768 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002545113 |
"EXPERIAN FINANCE PLC" 6/26 | XS1621351045 | Großbritannien (UK) | EUR | Bond | Baa1 | - | unknown | 0.0002543568 |
BERTELSMANN AG 10/24 EUR33237 | XS1121177767 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002543398 |
AKZO NOBEL NV 04/26 EUR51834 | XS1391625289 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0002542964 |
IMMOFINANZ AG SR UNSECURED REGS 10/27 2.5 10/27 | XS2243564478 | Österreich | EUR | Bond | - | - | unknown | 0.0002542819 |
MARSH & MCLENNAN COS INC 09/26 AX683320 | XS1963836892 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0002539389 |
BERTELSMANN AG 09/25 AU654245 | XS1888229249 | Deutschland | EUR | Bond | - | - | unknown | 0.0002537215 |
PUBLICIS GROUPE 12/24 EUR34445 | FR0012384667 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002537143 |
COCA-COLA ENTERPRISES PLC 11/23 | XS0989155089 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0002537143 |
AROUNDTOWN SA | XS2027946610 | Deutschland | EUR | Bond | - | - | unknown | 0.0002534741 |
2.75% ARKEMA 12/49 | FR0013425170 | Frankreich | EUR | Bond | - | - | unknown | 0.0002533616 |
BBG012248X84 BECTON DICKINSON AND CO 8/25 | XS2375836553 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002530801 |
BERLIN HANNOVER HYPOBANK AG 10/27 AP366668 | DE000BHY0GS9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002530476 |
COLSM 1.35 10/14/28 10/28 | ES0239140017 | Spanien | EUR | Bond | - | - | unknown | 0.0002529631 |
BANQUE FED CRED MUTUEL 11/27 AP909096 | XS1717355561 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0002529148 |
CAISSE NAT REASSURANCE 09/29 2.125 9/29 | FR0013447125 | Frankreich | EUR | Bond | - | - | Financial | 0.0002528351 |
CREDIT MUTUEL ARKEA 01/25 AW636928 | FR0013397320 | Frankreich | EUR | Bond | - | - | unknown | 0.0002527723 |
FERROVIAL EMISIONES SA 03/25 AM963817 | ES0205032024 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0002524414 |
DANSKE BANK A/S 9/30 | XS2225893630 | Dänemark | EUR | Bond | - | - | unknown | 0.0002523278 |
ILLINOIS TOOL WORKS INC 1.000% 2031-06-05 | XS1843434793 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002521902 |
SAMHALLSBYGGNADSBOLAGET | XS2049823680 | Schweden | EUR | Bond | - | - | unknown | 0.0002521867 |
BBG0105TNCF1 HOCHTIEF AKTIENGESELLSCH 04/29 0.625 4/29 | DE000A3E5S00 | Deutschland | EUR | Bond | - | - | unknown | 0.0002521052 |
UNIBAIL 04/27 EUR52025 | XS1401196958 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002520452 |
MOLNLYCKE HOLDING AB 02/24 EUR43575 | XS1317732771 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0002516684 |
BBG00Z8WZ932 H&M FINANCE BV 8/29 | XS2303070911 | Niederlande | EUR | Bond | - | - | unknown | 0.0002514735 |
KLEPIERRE SA 09/31 EUR53164 | FR0013203825 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002514655 |
HANNOVER RE SUBORDINATED REGS 10/40 VAR 10/30 | XS2198574209 | Deutschland | EUR | Bond | - | - | unknown | 0.0002512119 |
COVIVIO SR UNSECURED REGS 09/31 1.125 9/31 | FR0013447232 | Frankreich | EUR | Bond | - | - | unknown | 0.0002511467 |
GREAT-WEST LIFECO INC 04/23 | XS0918600668 | Kanada | EUR | Bond | A1 | - | unknown | 0.000251096 |
AMERICAN TOWER CORP 04/25 AM965706 | XS1591781452 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.0002509342 |
BRISTOL-MYERS SQUIBB CO 05/25 EUR38466 | XS1226748439 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Consumer, Non-cyclical | 0.0002509076 |
BRENNTAG FINANCE BV 09/25 AP117817 | XS1689523840 | Niederlande | EUR | Bond | - | - | unknown | 0.0002506854 |
VONOVIA FINANCE BV COMPANY GUAR REGS 04/24 1.625 4/24 | DE000A28VQC4 | Niederlande | EUR | Bond | - | - | unknown | 0.0002506588 |
BAWAG GROUP AG 03/24 AX751599 | XS1968814332 | Österreich | EUR | Bond | - | - | unknown | 0.0002506322 |
UNIONE DI BANCHE ITALIANE SPA 6/24 | XS2015314037 | Italien | EUR | Bond | - | - | unknown | 0.0002505742 |
WESTPAC BANKING CORP 04/27 EUR53422 | XS1506398244 | Australien | EUR | Bond | Aa3 | - | unknown | 0.0002504124 |
FRESENIUSSE AND CO KGAA 1/33 | XS2237447961 | Deutschland | EUR | Bond | - | - | unknown | 0.0002504041 |
BBG007KC3984 BRITISH SKY BROADCASTING 29 2.75 11/29 | XS1143502901 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002501914 |
ANZ NEW ZEALAND (INTL) LTD 1.125% 2025-03-20 | XS1794394848 | Neuseeland | EUR | Bond | - | - | unknown | 0.0002500936 |
AUTOROUTES PARIS-RHIN-RH 01/24 EUR43396 | FR0013044278 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0002500912 |
DANONE SA 1.000% 2025-03-26 | FR0013325172 | Frankreich | EUR | Bond | - | - | unknown | 0.0002500574 |
LEASEPLAN CORP NV 03/24 AX354278 | XS1960260021 | Niederlande | EUR | Bond | - | - | unknown | 0.0002500091 |
PRAXAIR INC 02/24 EUR50842 | XS1362384262 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | Basic Materials | 0.0002499752 |
MEINL EUROPEAN LAND LTD 09/25 AU292804 | XS1829325239 | Niederlande | EUR | Bond | - | - | unknown | 0.0002498376 |
NE PROPERTY BV COMPANY GUAR REGS 10/26 1.875 10/26 ZR9252704 | XS2063535970 | Niederlande | EUR | Bond | - | - | unknown | 0.000249584 |
ERSTE GROUP BANK AG 0.875% 2026-05-22 | XS2000538343 | Österreich | EUR | Bond | - | - | unknown | 0.0002495067 |
UNIBAIL 02/25 EUR53674 | XS1523192588 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0002493859 |
SIKA CAPITAL BV 0.875% 2027-04-29 | XS1986416268 | Schweiz | EUR | Bond | - | - | unknown | 0.0002493328 |
SPAIN 4/25 | XS2154441120 | Spanien | EUR | Bond | - | - | unknown | 0.0002491661 |
ERSTE GROUP BANK AG 9/31 | AT0000A2J645 | Österreich | EUR | Bond | - | - | unknown | 0.0002491516 |
COCA-COLA CO 09/36 EUR52995 | XS1485643610 | Vereinigte Staaten von Amerika | EUR | Bond | Aa3 | - | unknown | 0.0002487434 |
WORLDLINESA/FRANCE 6/27 | FR0013521564 | Frankreich | EUR | Bond | - | - | unknown | 0.0002486806 |
BELFIUS BANK SA 10/24 AP655234 | BE6299156735 | Belgien | EUR | Bond | - | - | unknown | 0.0002486782 |
BBG011LMCP32 ASSICURAZIONI GE 6/32 | XS2357754097 | Italien | EUR | Bond | - | - | unknown | 0.0002485632 |
GLOBALWORTH REAL ESTATE INVESTMENTS LTD 3/25 | XS1799975922 | Rumänien | EUR | Bond | - | - | unknown | 0.0002485556 |
COMMERZBANK AG 1.125% 2026-06-22 | DE000CZ40N46 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.000248241 |
RENTOKIL INITIAL PLC 11/24 AP910350 | XS1722897623 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002480937 |
LONDON STOCK EXCH GROUP PLC 09/24 AO938574 | XS1685653302 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002480164 |
ALTAREA SCA 01/28 ACI1G44P8 | FR0013453974 | Frankreich | EUR | Bond | - | - | unknown | 0.0002480067 |
NATIONALE INVESTERINGSBANK 07/25 AZ4219467 | XS2023631489 | Niederlande | EUR | Bond | - | - | unknown | 0.0002478859 |
COMMERZBANK AG 10/23 AU790744 | DE000CZ40NG4 | Deutschland | EUR | Bond | - | - | unknown | 0.0002478449 |
RAIFFEISEN BANK INTL 12/23 AV875634 | XS1917591411 | Österreich | EUR | Bond | - | - | unknown | 0.0002476589 |
IMMOFINANZ AG 01/23 AW594486 | XS1935128956 | Österreich | EUR | Bond | - | - | unknown | 0.0002474608 |
MITSUBISHI UFJ FIN GRP SR UNSECURED REGS 07/29 0.848 07/29 ACI1DBD42 | XS2028900087 | Japan | EUR | Bond | - | - | Financial | 0.0002474488 |
ECOLAB INC 01/24 EUR53814 | XS1529859321 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | Basic Materials | 0.0002474101 |
MIZUHO FINANCIAL GROUP 10/23 AU821889 | XS1886577615 | Japan | EUR | Bond | - | - | Financial | 0.0002473376 |
LEGRAND SA 07/24 AO150366 | FR0013266830 | Frankreich | EUR | Bond | - | - | unknown | 0.0002473183 |
AIB GROUP PLC 3/23 | XS1799975765 | Irland | EUR | Bond | - | - | unknown | 0.0002472724 |
MITSUBISHI UFJ FINANCIAL GR 10/23 AU573172 | XS1890709774 | Japan | EUR | Bond | - | - | unknown | 0.0002472024 |
SNAM SPA 09/23 AU478471 | XS1881004730 | Italien | EUR | Bond | - | - | unknown | 0.0002471203 |
BANKINTER SA 03/24 AX432196 | ES0313679K13 | Spanien | EUR | Bond | - | - | unknown | 0.000247084 |
BBG011974XG7 DANSKE BANK A/S 6/29 | XS2351220814 | Dänemark | EUR | Bond | - | - | unknown | 0.0002470643 |
UNILEVER NV 04/24 EUR52068 | XS1403014936 | Großbritannien (UK) | EUR | Bond | A1 | - | unknown | 0.0002467314 |
IRELAND 11/23 | XS2169281131 | Irland | EUR | Bond | - | - | unknown | 0.0002467072 |
SYSCO CORP 06/23 EUR52493 | XS1434170426 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0002466638 |
HONDA FINANCE CO LTD 01/24 EUR54594 | XS1550134602 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0002466106 |
GELF BOND ISSUER I SA | XS2029713349 | Frankreich | EUR | Bond | - | - | unknown | 0.0002466106 |
DEUTSCHE ANNINGTON FINANCE 01/24 AQ658935 | DE000A19UR61 | Deutschland | EUR | Bond | - | - | unknown | 0.000246386 |
KBC GROEP NV 0.625% 2025-04-10 | BE0002645266 | Belgien | EUR | Bond | - | - | unknown | 0.0002463425 |
VONOVIA FINANCE BV COMPANY GUAR REGS 10/39 1.625 10/39 | DE000A2R8NE1 | Deutschland | EUR | Bond | - | - | unknown | 0.0002463353 |
KBC GROUPNV | BE0002681626 | Belgien | EUR | Bond | - | - | unknown | 0.0002463087 |
MERCK & CO INC 11/24 EUR53559 | XS1513055555 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.00024627 |
ENAGAS FINANCIACIONES SAU 03/23 EUR37317 | XS1203859415 | Spanien | EUR | Bond | A3 | - | unknown | 0.0002460382 |
BELFIUS BANK SA 08/23 AU214368 | BE6307427029 | Belgien | EUR | Bond | - | - | unknown | 0.0002459633 |
SPAREBANKEN MIDT-NORGE 07/23 AT300184 | XS1827891869 | Norwegen | EUR | Bond | - | - | unknown | 0.0002458715 |
COMMERZBANK AG 3/26 | DE000CB0HRQ9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002458522 |
HONDA FINANCE CO LTD 11/22 EUR41390 | XS1288342659 | Japan | EUR | Bond | A1 | - | unknown | 0.000245816 |
CREDIT MUTUEL ARKEA 01/23 EUR36029 | FR0012467520 | Frankreich | EUR | Bond | A2 | - | unknown | 0.000245787 |
SNS BANK NEDERLAND 06/23 AT155470 | XS1844079738 | Niederlande | EUR | Bond | - | - | unknown | 0.0002457338 |
AMADEUS IT GROUP SA 09/23 AU390058 | XS1878191052 | Spanien | EUR | Bond | - | - | unknown | 0.0002456469 |
INFORMA PLC 04/28 BJLKVVII0 | XS2068065163 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002455962 |
DEUTSCHE ANNINGTON FINANCE 07/23 AT300230 | DE000A192ZH7 | Deutschland | EUR | Bond | - | - | unknown | 0.0002455454 |
METRO AG 03/23 AR505710 | XS1788515788 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002453208 |
BERLIN HANNOVER HYPOBANK AG 08/23 AU145737 | DE000BHY0BJ9 | Deutschland | EUR | Bond | - | - | unknown | 0.000245287 |
VIRGIN MONEY UK PLC 6/25 | XS2126084750 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002452621 |
"DOVER CORP" 11/26 | XS1405765733 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.000245243 |
DEUTSCHE TELEKOM AG 10/30 | XS0553728709 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0002450666 |
LEGRAND SA 10/23 AP417554 | FR0013286846 | Frankreich | EUR | Bond | - | - | unknown | 0.0002450503 |
0.375% NATIONALE-NEDERLANDEN BANK 02/25 | XS2084050637 | Niederlande | EUR | Bond | - | - | unknown | 0.0002450116 |
OKO BANK 08/23 AU200418 | XS1871094931 | Finnland | EUR | Bond | - | - | unknown | 0.0002448812 |
SANTANDER CONSUMER BANK AS 03/23 AR386333 | XS1781346801 | Norwegen | EUR | Bond | A3 | - | Financial | 0.0002448329 |
RCI BANQUE SA 05/23 EUR52138 | FR0013169778 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.000244758 |
BECTON DICKINSON & CO 12/22 EUR53813 | XS1531345376 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002447315 |
BBG00ZQRMKH7 VIENNA INSURANCE GRP AGW SR UNSECURED REGS 03/36 1 3/36 | AT0000A2QL75 | Österreich | EUR | Bond | - | - | unknown | 0.0002446976 |
CREDIT SUISSE AG LONDON SR UNSECURED REGS 05/25 0.45 5/25 | XS2176686546 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002445092 |
AMERICAN HONDA FINANCE CORP 0.550% 2023-03-17 | XS1793316834 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002444875 |
ALDFP 0.375 10/19/23 10/23 | XS2243983520 | Frankreich | EUR | Bond | - | - | unknown | 0.0002441276 |
KONINKLIJKE AHOLD DELHAIZE NV 0.250% 2025-06-26 | XS2018636600 | Niederlande | EUR | Bond | - | - | unknown | 0.0002438764 |
BBG00Y70F3S4 AGEAS 11/51 1 11/51 | BE6325355822 | Belgien | EUR | Bond | - | - | unknown | 0.0002438764 |
BPCE SA | FR0013464930 | Frankreich | EUR | Bond | - | - | unknown | 0.0002437895 |
1% ERSTE GR. 06/30 | XS2083210729 | Österreich | EUR | Bond | - | - | Financial | 0.0002437798 |
SANTANDER CONSUMER BANK AG | XS2063659945 | Deutschland | EUR | Bond | - | - | unknown | 0.000243502 |
BBG00YC45XT4 SVENSKA HANDELSBANKEN AB 12/27 | XS2265968284 | Schweden | EUR | Bond | - | - | unknown | 0.0002434175 |
WPC EUROBOND BV 04/27 AR505880 | XS1785458172 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002433047 |
ADIDAS AG 9/35 | XS2224621420 | Deutschland | EUR | Bond | - | - | unknown | 0.000243304 |
VONOVIA FINANCE BV COMPANY GUAR REGS 10/27 0.625 10/27 | DE000A2R8ND3 | Deutschland | EUR | Bond | - | - | unknown | 0.000243275 |
ALLIANZ FINANCE II B.V. COMPANY GUAR REGS 01/25 0.0000 | DE000A28RSQ8 | Deutschland | EUR | Bond | - | - | unknown | 0.0002432073 |
PROLOGIS EURO FINANCE | XS2049583789 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.000243118 |
KBC GROEP NV 6/27 | BE0974365976 | Belgien | EUR | Bond | - | - | unknown | 0.0002430938 |
ITALGAS SPA 6/25 | XS2192431380 | Italien | EUR | Bond | - | - | unknown | 0.0002430721 |
DANONE (GROUPE) 11/22 EUR53540 | FR0013216900 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0002430624 |
FASTIGHETS AB BALDER | XS2109608724 | Schweden | EUR | Bond | - | - | unknown | 0.000243031 |
BBG00XY94TL9 ABBVIE INC SR UNSECURED 06/24 1.25 6/24 | XS2125914593 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002430241 |
GLAXOSMITHKLINE CAPITAL 09/23 1E 06 9/23 | XS2054626788 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002429924 |
BBG00ZDNZBV0 WPC EUROBOND BV 6/30 | XS2306082293 | Niederlande | EUR | Bond | - | - | unknown | 0.0002429149 |
BELFIUS BANK SA | BE6317283610 | Belgien | EUR | Bond | - | - | unknown | 0.0002428185 |
SNAM SPA 08/25 AW964234 | XS1957442541 | Italien | EUR | Bond | - | - | unknown | 0.0002427423 |
BBG00Y8QFCS6 NESTLE FINANCE INTL LTD 12/40 | XS2263684933 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002427266 |
KONINKLIJKE DSM N.V. 6/28 | XS2193978363 | Niederlande | EUR | Bond | - | - | unknown | 0.0002427194 |
BBG0129C5TW4 VONOVIA SE 9/23 | DE000A3MP4S3 | Deutschland | EUR | Bond | - | - | unknown | 0.0002426735 |
COMMERZBANK AG 09/24 0.25 9/24 | DE000CZ45VB7 | Deutschland | EUR | Bond | - | - | unknown | 0.0002426011 |
SANTANDER CONSUMER BANK AS 9/24 | XS2050945984 | Norwegen | EUR | Bond | - | - | unknown | 0.0002425793 |
PROLOGIS EURO FINANCE 28 0.375 2/28 | XS2112475509 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | Financial | 0.0002424513 |
BBG00Y8Q9QN7 NESTLE FINANCE INTL LTD 12/25 | XS2263684180 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002424006 |
DE 9/24 | DE000A2NBKK3 | Deutschland | EUR | Bond | - | - | Financial | 0.0002422315 |
BBG00Z9B97T2 ALD SA 2/24 | XS2306220190 | Frankreich | EUR | Bond | - | - | unknown | 0.0002422243 |
BBG00ZTY4C69 DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/41 1.3 4/41 | DE000A3H25Q2 | Deutschland | EUR | Bond | - | - | unknown | 0.0002420455 |
ERSTE GROUP BANK AG 9/25 | AT0000A2JAF6 | Österreich | EUR | Bond | - | - | unknown | 0.0002420286 |
SANTANDER CONSUMER BANK AS 2/25 | XS2124046918 | Norwegen | EUR | Bond | - | - | unknown | 0.0002418765 |
BBG011BNZJW8 VONOVIA SE 9/24 | DE000A3E5MF0 | Deutschland | EUR | Bond | - | - | unknown | 0.0002418137 |
UNIONE DI BANCHE ITALIANE SPA 4/23 | XS1807182495 | Italien | EUR | Bond | - | - | unknown | 0.0002418113 |
CREDIT MUTUEL ARKEA SA 10/28 | FR0013450822 | Frankreich | EUR | Bond | - | - | unknown | 0.0002417823 |
BBG00YB6ZNY3 CLEARSTREAM BANKING AG 12/25 | XS2264712436 | Deutschland | EUR | Bond | - | - | unknown | 0.0002416204 |
FRESENIUS SE & CO KGAA 02/25 AW506584 | XS1936208252 | Deutschland | EUR | Bond | - | - | unknown | 0.0002415792 |
AAREAL BANK AG SR UNSECURED REGS 04/27 0.5 4/27 | DE000AAR0264 | Deutschland | EUR | Bond | - | - | unknown | 0.00024149 |
SECURITAS AB 02/24 AM500919 | XS1567901761 | Schweden | EUR | Bond | Baa2 | - | unknown | 0.0002414839 |
BBG0116XN8F8 MERLIN PROPERTIES SOCIMI 6/30 | XS2347367018 | Spanien | EUR | Bond | - | - | unknown | 0.0002414514 |
BBG011CG6KY9 SRELN 1.125 06/22/26 6/26 | XS2356076625 | Guernsey | EUR | Bond | - | - | unknown | 0.0002413668 |
BBG01015BGG0 BERLIN HYP AG SR UNSECURED REGS 04/31 0.375 4/31 | DE000BHY0SL9 | Deutschland | EUR | Bond | - | - | unknown | 0.0002412026 |
FRN CITIGROUP 02/30 | XS0213026197 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 0.000241125 |
BBG0116XK5L0 KBC GROUP NV 5/31 | BE0002799808 | Belgien | EUR | Bond | - | - | unknown | 0.0002407485 |
BBG00ZHXYM78 MUENCHENERHYPOTHEKEMBNK 3/29 | DE000MHB64E1 | Deutschland | EUR | Bond | - | - | unknown | 0.0002407437 |
BBG00ZJWZ8L2 CREDIT MUTUEL ARKEA SA | FR0014002BJ9 | Frankreich | EUR | Bond | - | - | unknown | 0.000240647 |
BBG011952SD7 ING GROEP NV 6/32 | XS2350756446 | Niederlande | EUR | Bond | - | - | unknown | 0.0002403572 |
BBG01173XGM6 BELFIUS BANK SA 6/27 | BE6328785207 | Belgien | EUR | Bond | - | - | unknown | 0.0002402485 |
BBG00ZXLR6B4 SANTANDER CONSUMER BANK AS 4/26 | XS2331216577 | Norwegen | EUR | Bond | - | - | unknown | 0.000240205 |
ADIDAS AG 10/28 | XS2240505268 | Deutschland | EUR | Bond | - | - | unknown | 0.000240164 |
FRESENIUS MEDICAL CARE A COMPANY GUAR REGS 11/26 0.625 | XS2084497705 | Deutschland | EUR | Bond | - | - | unknown | 0.0002400844 |
BBG00YC4BDS2 COFINIMMO SA 12/30 | BE6325493268 | Belgien | EUR | Bond | - | - | unknown | 0.0002400215 |
BBG00ZNHCL63 TELE2 AB 3/31 | XS2314267449 | Schweden | EUR | Bond | - | - | unknown | 0.0002399321 |
BBG011CFSD55 OP CORPORATE BANK PLC 6/28 | XS2354246816 | Finnland | EUR | Bond | - | - | unknown | 0.0002399297 |
ANZ NEW ZEALAND INTL/LDN 9/29 | XS2052998403 | Neuseeland | EUR | Bond | - | - | unknown | 0.0002395311 |
BBG011BP0PD8 VONOVIA SE 6/41 | DE000A3E5MK0 | Deutschland | EUR | Bond | - | - | unknown | 0.0002395311 |
BBG012CM0LK3 OPBANK 0.375 12/08/28 12/28 | XS2384473992 | Finnland | EUR | Bond | - | - | unknown | 0.0002393572 |
VONOVIA FINANCE BV 9/34 | DE000A2R7JE1 | Deutschland | EUR | Bond | - | - | unknown | 0.0002391109 |
BBG010RS9RW3 IMERYS SA SR UNSECURED REGS 07/31 1 7/31 | FR0014003GX7 | Frankreich | EUR | Bond | - | - | unknown | 0.0002389273 |
BBG00Z8WBF07 DEUTSCHE BOERSE AG 2/31 | DE000A3H2465 | Deutschland | EUR | Bond | - | - | unknown | 0.0002387244 |
BBG00YZ24GG5 SAGAX EURO MTN NL BV 1/28 | XS2291340433 | Niederlande | EUR | Bond | - | - | unknown | 0.0002386809 |
UNIBAIL-RODAMCO-WESTFIELD SE 2049-07-01 | FR0013431715 | Frankreich | EUR | Bond | Baa1 | - | Financial | 0.0002385601 |
ORANGE SA 9/29 | FR0013534484 | Frankreich | EUR | Bond | - | - | unknown | 0.0002383717 |
BMW AG 04/27 EUR38187 | DE000A1ZZ028 | Deutschland | EUR | Bond | A1 | - | unknown | 0.0002380677 |
NE PROPERTY BV 2.625% 2023-05-22 | XS1996435928 | Niederlande | EUR | Bond | - | - | unknown | 0.0002378964 |
ENAGAS FINANCIACIONES SA 11/32 | XS2251626896 | Spanien | EUR | Bond | - | - | unknown | 0.0002378693 |
STORA ENSO OYJ 3/28 | XS1794354628 | Finnland | EUR | Bond | - | - | unknown | 0.0002375846 |
VIER GAS TRANSPORT GMBH | XS2049146215 | Deutschland | EUR | Bond | - | - | Energy | 0.0002371616 |
BBG010RRXT72 EURONEXT NV 5/26 | DK0030485271 | Niederlande | EUR | Bond | - | - | unknown | 0.0002355399 |
LANXESS AG 10/26 EUR53258 | XS1501367921 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0002354183 |
SUMITOMO MITSUI BK CORP 07/23 | XS0937853983 | Japan | EUR | Bond | A1 | - | Financial | 0.000235309 |
CIE GENERALE DES ETABLISSEMENT 11/32 | FR0014000D49 | Frankreich | EUR | Bond | - | - | unknown | 0.000235111 |
BBG010Z1CKK7 CYRUSONE EUROPE FINANCE 5/28 | XS2342250227 | Irland | EUR | Bond | - | - | unknown | 0.0002341551 |
AEGON BANK NV 0.625% 2024-06-21 | XS2008921947 | Niederlande | EUR | Bond | - | - | Financial | 0.0002339084 |
GLOBALWORTH REAL ESTATE SR UNSECURED REGS 07/26 2.95 7/26 | XS2208868914 | Guernsey | EUR | Bond | - | - | unknown | 0.0002330275 |
MIZUHO FINANCIAL GROUP INC 10/24 AP286509 | XS1691909920 | Japan | EUR | Bond | A1 | - | Financial | 0.000231118 |
FRESENIUS FINANCE BV 2/24 | XS1026109204 | Deutschland | EUR | Bond | Baa3 | - | unknown | 0.0002296689 |
BBG00ZTY3057 LSEG NETHERLANDS BV 4/33 | XS2327299884 | Niederlande | EUR | Bond | - | - | unknown | 0.0002293811 |
BBG00Z6B7V23 SKF AB 2/31 | XS2297204815 | Schweden | EUR | Bond | - | - | unknown | 0.000228922 |
BBG011K32BG3 UBS AG LONDON SR UNSECURED REGS 06/26 0.01 6/26 | XS2358287238 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002286055 |
ASB FINANCE LTD COMPANY GUAR REGS 09/29 0.5 9/29 | XS2055104785 | Neuseeland | EUR | Bond | - | - | unknown | 0.0002283393 |
BBG012QZX9C9 AMERICAN TOWER CORP 2/27 | XS2393701284 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0002280915 |
SUMITOMO MITSUI FINL GRP 10/27 | XS2234579675 | Japan | EUR | Bond | - | - | unknown | 0.000227114 |
CADENT FINANCE PLC 03/32 0.75 3/32 | XS2116701348 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002269626 |
INTERMEDIATE CAPITAL GRO 02/27 1.625 2/27 | XS2117435904 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002262057 |
TELIA CO AB SUBORDINATED REGS 05/81 VAR | XS2082429890 | Schweden | EUR | Bond | - | - | unknown | 0.0002243735 |
BBG0133KPKX6 HITACHI CAPITAL UK PLC 10/24 | XS2402064559 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002232844 |
BBG011PQP548 SRBANK V0.375 07/15/27 7/27 | XS2363982344 | Norwegen | EUR | Bond | - | - | unknown | 0.0002214955 |
FASTIGHETS AB BALDER 03/25 AM630660 | XS1576819079 | Schweden | EUR | Bond | Baa3 | - | unknown | 0.0002211335 |
KONINKLIJKE AHOLD DELHAIZE NV 1.125% 2026-03-19 | XS1787477543 | Niederlande | EUR | Bond | - | - | unknown | 0.0002205184 |
BBG00YZBJC05 VONOVIA FINANCE BV 1/41 | DE000A287179 | Niederlande | EUR | Bond | - | - | unknown | 0.0002203626 |
ANNINGTON FUNDING PLC 07/24 AO248647 | XS1645519031 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002202395 |
INTERCONTINENTAL HOTELS GROUP 10/24 | XS2240494471 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002194448 |
WOLTERS KLUWER NV 05/24 | XS1067329570 | Niederlande | EUR | Bond | Baa1 | - | unknown | 0.0002180161 |
NORSK HYDRO ASA 1.125% 2025-04-11 | XS1974922442 | Norwegen | EUR | Bond | - | - | unknown | 0.0002175025 |
EXOR NV SR UNSECURED REGS 10/34 1.75 | XS2058888616 | Niederlande | EUR | Bond | - | - | unknown | 0.0002174556 |
XYLEM INC 03/23 EUR51636 | XS1378780891 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002172109 |
NATIONAL AUSTRALIA BANK LTD 09/24 AP096588 | XS1685481332 | Australien | EUR | Bond | - | - | unknown | 0.0002160231 |
HOLCIM FINANCE | XS2081615473 | Luxemburg | EUR | Bond | - | - | unknown | 0.0002144739 |
MERCIALYS SA SR UNSECURED REGS 07/27 4.625 7/27 | FR0013522091 | Frankreich | EUR | Bond | - | - | unknown | 0.0002133103 |
SES SA 7/28 | XS2196317742 | Luxemburg | EUR | Bond | - | - | unknown | 0.000211827 |
COCA COLA EUROPEAN PARTN 09/31 0.7 9/31 | XS2051655095 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002116694 |
MCDONALD'S CORP 06/29 | XS1075995768 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0002110767 |
KOJAMO PLC 1.625% 2025-07-03 | XS1785356251 | Finnland | EUR | Bond | - | - | unknown | 0.0002108168 |
ROYAL KPN NV 09/24 | XS0454773713 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0002106184 |
SUEZ ENVIRONNEMENT SA 07/24 | FR0010780528 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002091202 |
AUTOROUTES PARIS-RHIN-RH 01/31 EUR53697 | FR0013220266 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0002077652 |
ASR NEDERLAND NV 09/25 EUR42113 | XS1293505639 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0002076278 |
BBG00ZTY2ZX0 LSEG NETHERLANDS BV 4/25 | XS2327298217 | Niederlande | EUR | Bond | - | - | unknown | 0.000205248 |
CNP ASSURANCES 02/29 AW919102 | FR0013399680 | Frankreich | EUR | Bond | - | - | unknown | 0.0002046041 |
BBG012HPTKY7 SMURFIT KAPPA TREASURY 9/29 | XS2388182573 | Irland | EUR | Bond | - | - | unknown | 0.000203893 |
LLOYDS BANKING GROUP, 4.5% 18MAR2030 3/25 | XS2138286229 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002038469 |
CREDIT MUTUEL ARKEA 06/26 EUR52336 | FR0013173028 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0002033994 |
VIENNA INSURANCE GROUP 03/26 EUR36813 | AT0000A1D5E1 | Österreich | EUR | Bond | A3 | - | unknown | 0.0002031458 |
MCDONALD'S CORP 12/25 | XS1004551294 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0002031114 |
SPAREBANK 1 OSTLANDET 0.875% 2023-03-13 | XS1790931114 | Norwegen | EUR | Bond | - | - | Financial | 0.000202567 |
TERNA RETE ELETTRICA NAZIONALE SPA 7/32 | XS2209023402 | Italien | EUR | Bond | - | - | unknown | 0.0002021485 |
ROYAL BANK OF CANADA 0.250% 2024-05-02 | XS1989375412 | Kanada | EUR | Bond | - | - | Financial | 0.0002020656 |
EASYJET PLC 0.875% 2025-06-11 | XS2009152591 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 0.0002018577 |
CREDITO VALTELLINESE SCA SR UNSECURED REGS 11/22 2 | XS2084131122 | Italien | EUR | Bond | - | - | unknown | 0.0002016851 |
DELL BANK INTERNATIONAL SR UNSECURED REGS 06/24 1.625 6/24 | XS2193734733 | Irland | EUR | Bond | - | - | unknown | 0.0002009869 |
ATOS SE 11/28 AV387914 | FR0013378460 | Frankreich | EUR | Bond | - | - | unknown | 0.0002005245 |
WPC EUROBOND BV 07/24 EUR54655 | XS1533928971 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0002003356 |
LEGRAND SA 12/27 EUR45413 | FR0013073277 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0001998144 |
BANQUE FED CRED MUTUEL 03/27 AM964546 | XS1587911451 | Frankreich | EUR | Bond | A3 | - | Financial | 0.0001992727 |
IBM CORP 03/28 EUR51600 | XS1375955678 | Vereinigte Staaten von Amerika | EUR | Bond | A1 | - | unknown | 0.0001977746 |
MERLIN PROPERTIES SOCIMI SA 09/29 AP096718 | XS1684831982 | Spanien | EUR | Bond | - | - | unknown | 0.0001974177 |
MERLIN PROPERTIES SOCIMI SR UNSECURED REGS 07/27 2.375 7/27 | XS2201946634 | Spanien | EUR | Bond | - | - | unknown | 0.0001971442 |
VIVENDI UNIVERSAL 05/26 EUR52275 | FR0013176310 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0001965319 |
ASR NEDERLAND NV 09/24 EUR33030 | XS1115800655 | Niederlande | EUR | Bond | Baa3 | - | unknown | 0.0001961928 |
REN FINANCE BV 01/28 AQ598577 | XS1753814737 | Portugal | EUR | Bond | - | - | unknown | 0.0001956134 |
BBG011DF6YR8 ASCENDAS REIT SR UNSECURED REGS 06/28 0.75 6/28 | XS2349343090 | Singapur | EUR | Bond | - | - | unknown | 0.0001952342 |
PINAULT PRINTEMPS REDOUTE 04/27 AN039862 | FR0013248721 | Frankreich | EUR | Bond | Baa2 | - | Consumer, Cyclical | 0.0001949739 |
AIB GROUP PLC 07/25 AT300242 | XS1849550592 | Irland | EUR | Bond | - | - | unknown | 0.0001944812 |
BBG00YDCT8K3 MOLNLYCKE HOLDING AB SR UNSECURED REGS 01/31 0.625 1/31 | XS2270406452 | Schweden | EUR | Bond | - | - | unknown | 0.000194381 |
SCA HYGIENE AB 03/27 AM869725 | XS1584122763 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0001941551 |
ALBEMARLE NEW HOLDING GMBH | XS2083147343 | Deutschland | EUR | Bond | - | - | unknown | 0.0001939522 |
HOLCIM LTD 01/24 | XS1019821732 | Schweiz | EUR | Bond | Baa2 | - | unknown | 0.0001939124 |
GENERAL MILLS INC 04/27 EUR38333 | XS1223837250 | Vereinigte Staaten von Amerika | EUR | Bond | A3 | - | unknown | 0.0001937167 |
LEG IMMOBILIEN AG | DE000A254P69 | Deutschland | EUR | Bond | - | - | unknown | 0.0001927747 |
MADRILENA RED DE GAS FINANC 04/29 AN150177 | XS1596740453 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0001927294 |
ADECCO INTERNATIONAL FINANCIAL SERVICES BV 1.250% 2029-11-20 | XS1995662027 | Schweiz | EUR | Bond | - | - | unknown | 0.0001924142 |
SAGAX AB 03/25 AX543405 | XS1962543820 | Schweden | EUR | Bond | - | - | unknown | 0.000191407 |
ELIA SYSTEM OP SA/NV 01/26 AW535244 | BE0002629104 | Belgien | EUR | Bond | Aa1 | - | unknown | 0.000190744 |
CREDIT MUTUEL ARKEA SA 1.125% 2029-05-23 | FR0013421369 | Frankreich | EUR | Bond | - | - | unknown | 0.0001906661 |
GECINA 01/25 EUR35551 | FR0012448025 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0001904886 |
ALTAREA SCA 07/24 AO010294 | FR0013266525 | Frankreich | EUR | Bond | - | - | unknown | 0.0001903618 |
KION GROUP AG 9/25 | XS2232027727 | Deutschland | EUR | Bond | - | - | unknown | 0.0001903563 |
WENDEL SA 1.375% 2026-04-26 | FR0013417128 | Frankreich | EUR | Bond | - | - | unknown | 0.0001899524 |
AIR LIQUIDE 06/25 EUR38923 | FR0012766889 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0001898781 |
NIBC BANK NV 2.000% 2024-04-09 | XS1978668298 | Niederlande | EUR | Bond | - | - | unknown | 0.0001895792 |
CNH INDUSTRIAL FINANCE EUROPE SA 5/23 | XS1412424662 | Luxemburg | EUR | Bond | Ba2 | - | unknown | 0.0001894469 |
UNIBAIL 06/23 | XS0942388462 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0001894288 |
MEDIOBANCA 01/25 AX873251 | XS1973750869 | Italien | EUR | Bond | - | - | unknown | 0.0001892549 |
SAP SE 1.000% 2026-03-13 | DE000A2G8VT5 | Deutschland | EUR | Bond | - | - | unknown | 0.0001892513 |
SKF AB 09/25 AU388773 | XS1877892148 | Schweden | EUR | Bond | - | - | unknown | 0.00018911 |
DE VOLKSBANK NV 10/30 | XS2202902636 | Niederlande | EUR | Bond | - | - | unknown | 0.0001890575 |
SNAM SPA 01/25 EUR54692 | XS1555402145 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0001889198 |
LEGRAND SA 03/26 AR482897 | FR0013321080 | Frankreich | EUR | Bond | - | - | unknown | 0.000188677 |
AUS PAC AIR (MELBOURNE) 10/24 EUR33262 | XS1121229402 | Australien | EUR | Bond | A3 | - | unknown | 0.0001886281 |
RED ELECTRICA FIN SA UNI 07/23 | XS1079698376 | Spanien | EUR | Bond | A3 | - | unknown | 0.000188485 |
ORANGE, 1.2% 11JUL2034, EUR 07/34 AZ5408952 | FR0013433679 | Frankreich | EUR | Bond | - | - | unknown | 0.0001883818 |
MERCIALYS SA 02/26 AR387304 | FR0013320249 | Frankreich | EUR | Bond | - | - | unknown | 0.0001881046 |
AIR PRODUCTS & CHEMICALS 02/25 009158AW | XS1117299484 | Vereinigte Staaten von Amerika | EUR | Bond | A2 | - | unknown | 0.0001879325 |
ATLAS COPCO AB 02/23 | XS0896144655 | Schweden | EUR | Bond | A2 | - | unknown | 0.0001879162 |
UNIONE DI BANCHE ITALIANE SPA 1.500% 2024-04-10 | XS1979446843 | Italien | EUR | Bond | - | - | unknown | 0.0001878238 |
PEARSON FUNDING FIVE PLC 05/25 EUR38463 | XS1228153661 | Großbritannien (UK) | EUR | Bond | Baa2 | - | unknown | 0.000187822 |
MCDONALD'S CORP 06/23 | XS0934983999 | Vereinigte Staaten von Amerika | EUR | Bond | Baa1 | - | unknown | 0.0001878111 |
KBC GROUP NV 09/24 AP096505 | BE0002290592 | Belgien | EUR | Bond | - | - | unknown | 0.0001874959 |
ATF NETHERLANDS BV 01/23 EUR53499 | XS1508392625 | Deutschland | EUR | Bond | - | - | unknown | 0.0001874488 |
FRESENIUS MEDICAL CARE AG & CO KGA 5/26 | XS2178769076 | Deutschland | EUR | Bond | - | - | unknown | 0.0001873963 |
CREDIT MUTUEL ARKEA 05/24 AN720009 | FR0013258936 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0001871553 |
BBG00ZDNXYN1 PACCAR FINANCIAL EUROPE BV 3/26 | XS2307573993 | Niederlande | EUR | Bond | - | - | unknown | 0.0001870986 |
ITALGAS SPA 03/24 AM768133 | XS1578294081 | Italien | EUR | Bond | Baa1 | - | unknown | 0.000186592 |
MERCK KGAA FRN + 1.625% 2079-06-25 | XS2011260531 | Deutschland | EUR | Bond | - | - | unknown | 0.0001865883 |
MEDIOBANCADI CRED FIN 9/27 | XS2227196404 | Italien | EUR | Bond | - | - | unknown | 0.0001865466 |
"SAMPO PLC" 9/23 | XS1520733301 | Finnland | EUR | Bond | Baa1 | - | Financial | 0.0001862894 |
SYDBANK A/S 09/23 AU478824 | XS1880919383 | Dänemark | EUR | Bond | - | - | unknown | 0.0001862478 |
TPG NV 11/24 AP887482 | XS1709433509 | Niederlande | EUR | Bond | - | - | unknown | 0.0001862061 |
COMPASS GROUP PLC 01/23 | XS1079320203 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0001861336 |
LEG IMMOBILIEN AG 01/24 EUR54662 | XS1554456613 | Deutschland | EUR | Bond | Baa1 | - | unknown | 0.0001858873 |
FOERENINGSBANKEN AB 09/23 AU478224 | XS1880928459 | Schweden | EUR | Bond | - | - | Financial | 0.0001857315 |
BANKIA SA 1.000% 2024-06-25 | ES0313307219 | Spanien | EUR | Bond | - | - | unknown | 0.0001856916 |
MUENCHNER HYPOTHEKENBANK 09/25 AU389336 | DE000MHB60L4 | Deutschland | EUR | Bond | - | - | unknown | 0.0001855684 |
BANCO DE SABADELL SA 3/27 | XS2228245838 | Spanien | EUR | Bond | - | - | unknown | 0.0001855087 |
SUDZUCKER INTL FINANCE BV 11/23 EUR53731 | XS1524573752 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0001853565 |
GRAND CITY PROPERTIES SA FRN + 2.500% PERP | XS1811181566 | Luxemburg | EUR | Bond | - | - | unknown | 0.0001853076 |
COLGATE PALMOLIVE CO | XS1958646082 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0001852496 |
MERCIALYS SA 03/23 EUR33806 | FR0012332203 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0001851898 |
SAGAX AB 27 1.125 1/27 | XS2112816934 | Schweden | EUR | Bond | - | - | unknown | 0.0001851228 |
BBG011RGFGQ1 LAR ESPANA REAL ESTATE SR UNSECURED REGS 07/26 1.75 7/26 | XS2363989273 | Spanien | EUR | Bond | - | - | unknown | 0.0001850522 |
CITYCON TREASURY BV 09/26 EUR52987 | XS1485608118 | Finnland | EUR | Bond | Baa1 | - | unknown | 0.0001848384 |
POSTNL NV SR UNSECURED 09/26 0.625 9/26 | XS2047619064 | Niederlande | EUR | Bond | - | - | unknown | 0.0001847388 |
NORDEA BANK ABP | XS2019260764 | Finnland | EUR | Bond | - | - | Financial | 0.0001845449 |
UNILEVER NV 08/23 AR103679 | XS1769090728 | Niederlande | EUR | Bond | - | - | unknown | 0.0001841319 |
CARREFOUR SA 06/23 AS958497 | FR0013342128 | Frankreich | EUR | Bond | - | - | unknown | 0.0001839924 |
BBG00ZJWZDC1 CITYCON TREASURY BV COMPANY GUAR REGS 03/28 1.625 3/28 | XS2310411090 | Niederlande | EUR | Bond | - | - | unknown | 0.0001838439 |
ERSTE GROUP BANK AG 0.375% 2024-04-16 | XS1982725159 | Österreich | EUR | Bond | - | - | Financial | 0.0001837605 |
BERLIN HANNOVER HYPOBANK AG 09/23 EUR53165 | DE000BHY0GU5 | Deutschland | EUR | Bond | A2 | - | unknown | 0.0001835323 |
FASTIGHETS AB BALDER 1/27 | XS2050448336 | Schweden | EUR | Bond | - | - | unknown | 0.0001834652 |
BBG0135J1M05 LAR ESPANA REAL ESTATE 28 1.843 11/28 | XS2403391886 | Spanien | EUR | Bond | - | - | unknown | 0.0001829327 |
SPAREBANKEN VEST AS 11/22 AP888290 | XS1725395302 | Norwegen | EUR | Bond | - | - | unknown | 0.0001828711 |
SE 9/26 | XS2049767598 | Schweden | EUR | Bond | - | - | unknown | 0.0001827334 |
BBG01173G727 WENDEL SE SR UNSECURED REGS 06/31 1 6/31 | FR0014003S72 | Frankreich | EUR | Bond | - | - | unknown | 0.0001825414 |
ALSTRIA OFFICE REIT-AG 11/27 AP935636 | XS1717584913 | Deutschland | EUR | Bond | - | - | unknown | 0.0001822026 |
MUENCHENER HYPOTHEKENBANK EG 0.500% 2026-06-08 | DE000MHB61E7 | Deutschland | EUR | Bond | - | - | unknown | 0.0001822026 |
ARKEMA SA 10/26 | FR00140005T0 | Frankreich | EUR | Bond | - | - | unknown | 0.0001821899 |
BBG00ZTY4C05 DEUTSCHE WOHNEN SE SR UNSECURED REGS 04/31 0.5 4/31 | DE000A3H25P4 | Deutschland | EUR | Bond | - | - | unknown | 0.0001820758 |
AROUNDTOWN PROPERTY HOLDING 01/24 AQ713600 | XS1752984440 | Deutschland | EUR | Bond | - | - | unknown | 0.0001820595 |
BBG00ZYVQXD1 REN FINANCE BV SR UNSECURED REGS 04/29 0.5 4/29 | XS2332186001 | Niederlande | EUR | Bond | - | - | unknown | 0.0001813023 |
BBG0113NKQX6 KOJAMO OYJ 5/29 | XS2345877497 | Finnland | EUR | Bond | - | - | unknown | 0.0001812026 |
BBG01197CF22 RAIFFEISENBANK AS SR UNSECURED REGS 06/28 VAR 6/28 | XS2348241048 | Tschechische Republik | EUR | Bond | - | - | unknown | 0.0001810921 |
SUDZUCKER INTL FINANCE BV 11/25 AQ125274 | XS1724873275 | Deutschland | EUR | Bond | - | - | unknown | 0.0001810731 |
BBG012F4FMH6 DANONE SA | FR0014005EJ6 | Frankreich | EUR | Bond | - | - | unknown | 0.0001810613 |
SCOR SE 9/51 | FR0013535101 | Frankreich | EUR | Bond | - | - | unknown | 0.0001809907 |
SPAREBANK 1 SMN 09/26 0.125 9/26 | XS2051032444 | Norwegen | EUR | Bond | - | - | Financial | 0.000180824 |
BBG00YG99F32 ALTAFP 1.75 01/16/30 1/30 | FR00140010J1 | Frankreich | EUR | Bond | - | - | unknown | 0.0001796809 |
BAWAG P.S.K. | XS2049584084 | Österreich | EUR | Bond | - | - | Financial | 0.000179527 |
BBG013F3XBR9 APRR 6/28 | FR0014006IV0 | Frankreich | EUR | Bond | - | - | unknown | 0.000178998 |
BBG011LXQWG4 ERSTE+STEIERMAR SR UNSECURED REGS 07/28 VAR 7/28 | AT0000A2RZL4 | Kroatien | EUR | Bond | - | - | unknown | 0.0001785197 |
BBG0129D6Z48 RAIFFEISENBANK INTL 9/27 | XS2381599898 | Österreich | EUR | Bond | - | - | unknown | 0.0001782806 |
AUTOLIV INC 06/23 AS963125 | XS1713462585 | Schweden | EUR | Bond | - | - | unknown | 0.0001774338 |
ALFA LAVAL TREASURY INTERNATIONAL AB (PUBL) 0.250% 2024-06-25 | XS2017324844 | Schweden | EUR | Bond | - | - | unknown | 0.0001767001 |
BBG012C58091 WUESTENROT WUERTTEMBERG 09/41 1 9/41 | XS2378468420 | Deutschland | EUR | Bond | - | - | unknown | 0.0001765905 |
0.6% OP CORPORATE BANK 01/27 | XS2102924383 | Finnland | EUR | Bond | - | - | Financial | 0.000169714 |
BBG010Z1CF37 KELLOGG CO SR UNSECURED 05/29 0.5 5/29 | XS2343510520 | Vereinigte Staaten von Amerika | EUR | Bond | - | - | unknown | 0.0001686288 |
STORA ENSO OYJ 6/27 | XS1624344542 | Finnland | EUR | Bond | - | - | unknown | 0.0001680518 |
NORSK HYDRO ASA 2.000% 2029-04-11 | XS1974922525 | Norwegen | EUR | Bond | - | - | unknown | 0.0001633312 |
SNAM SPA 01/24 | XS1019326641 | Italien | EUR | Bond | Baa1 | - | unknown | 0.0001630187 |
MIZUHO FINANCIAL GROUP INC 1.598% 2028-04-10 | XS1801905628 | Japan | EUR | Bond | - | - | unknown | 0.0001626609 |
SECURITAS AB 03/25 AR505886 | XS1788605936 | Schweden | EUR | Bond | - | - | unknown | 0.0001563764 |
STORA ENSO OYJ 6/23 | XS1432392170 | Finnland | EUR | Bond | Ba2 | - | unknown | 0.0001556156 |
BBG00Y8W0VK5 METSO OUTOTEC OYJ SR UNSECURED REGS 05/28 0.875 5/28 | XS2264692737 | Finnland | EUR | Bond | - | - | unknown | 0.0001531594 |
MEDIOBANCA DI CRED FIN 07/27 0.75 7/27 | XS2121237908 | Italien | EUR | Bond | - | - | unknown | 0.0001514068 |
BBG00Z8JWY75 SECURITASAB 2/28 | XS2303927227 | Schweden | EUR | Bond | - | - | unknown | 0.000148306 |
ELISA OYJ | XS2230266301 | Finnland | EUR | Bond | - | - | unknown | 0.0001449215 |
ELIA SYSTEM OP SA/NV 04/29 | BE0002466416 | Belgien | EUR | Bond | Baa1 | - | unknown | 0.0001434749 |
AVIVA PLC 10/23 EUR53507 | XS1509003361 | Großbritannien (UK) | EUR | Bond | A3 | - | unknown | 0.0001415539 |
EUROFINS SCIENTIFIC SE 26 3.75 7/26 | XS2167595672 | Luxemburg | EUR | Bond | - | - | unknown | 0.0001397444 |
SVENSKA CELLULOSA AB 03/25 EUR36982 | XS1198117670 | Schweden | EUR | Bond | Baa1 | - | unknown | 0.0001376112 |
SANDVIK AB 06/26 | XS1078218218 | Schweden | EUR | Bond | Baa2 | - | unknown | 0.0001372916 |
INMOBILIARIA COLONIAL SOCIM 11/29 AQ124996 | XS1725678194 | Spanien | EUR | Bond | - | - | unknown | 0.0001356708 |
BENI STABILI SPA SIIQ 02/28 AR258787 | XS1772457633 | Italien | EUR | Bond | - | - | unknown | 0.0001340127 |
CIE FRANCAISE D'ASSURANCE P 03/24 | FR0011805803 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0001318268 |
2.75% CEETRUS 11/26 | FR0013462728 | Frankreich | EUR | Bond | - | - | unknown | 0.0001311408 |
IMERYS SA 03/28 EUR51800 | FR0013143351 | Frankreich | EUR | Bond | Baa2 | - | unknown | 0.0001302169 |
BBG00ZRZV7Z7 STOREBRAND LIVSFORSIKRIN SUBORDINATED REGS 09/51 VAR 9/51 | XS2325328313 | Norwegen | EUR | Bond | - | - | unknown | 0.0001301068 |
SPI ELECTRICITY & GAS 02/24 | XS1030143447 | Australien | EUR | Bond | A3 | - | unknown | 0.0001290998 |
FERROVIAL EMISIONES SA 07/24 EUR29442 | ES0205032008 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0001290128 |
ESSILOR 04/24 | FR0011842913 | Frankreich | EUR | Bond | A2 | - | unknown | 0.0001280539 |
GELF BOND ISSUER I SA 10/26 EUR53438 | XS1506615282 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0001277737 |
CITYCON TREASURY BV 01/27 AU192080 | XS1822791619 | Finnland | EUR | Bond | - | - | unknown | 0.0001276771 |
AIR LIQUIDE 09/23 | FR0011439835 | Frankreich | EUR | Bond | A3 | - | unknown | 0.0001268909 |
ELISA COMMUNICATIONS CORP 02/26 AX239903 | XS1953833750 | Finnland | EUR | Bond | - | - | unknown | 0.0001258934 |
AKTIEBOLAGET SKF | XS2079107830 | Schweden | EUR | Bond | - | - | unknown | 0.0001251374 |
AUCHAN SA 04/23 | FR0011462571 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0001247871 |
EURONEXT NV 1.000% 2025-04-18 | XS1789623029 | Niederlande | EUR | Bond | - | - | unknown | 0.0001244973 |
FINLAND 4/23 | XS2153410977 | Finnland | EUR | Bond | - | - | unknown | 0.00012442 |
MADRILENA RED DE GAS FINANC 04/25 AN028562 | XS1596739364 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0001241676 |
SATO OYJ 1.375% 2024-05-31 | XS2005607879 | Finnland | EUR | Bond | - | - | unknown | 0.0001241422 |
0.875% CHORUS 12/26 | XS2084759757 | Neuseeland | EUR | Bond | - | - | unknown | 0.0001236954 |
ELISA COMMUNICATIONS CORP 03/24 AM768089 | XS1578886258 | Finnland | EUR | Bond | Baa2 | - | unknown | 0.0001234961 |
MUENCHNER HYPOTHEKENBANK 07/24 AO223445 | DE000MHB9940 | Deutschland | EUR | Bond | - | - | unknown | 0.0001232401 |
CA IMMOBILIEN ANLAGEN AG 10/25 | XS2248827771 | Österreich | EUR | Bond | - | - | unknown | 0.0001227775 |
ADECCO INT FINANCIAL SVS 11/22 EUR38727 | XS1237184533 | Schweiz | EUR | Bond | Baa1 | - | unknown | 0.0001224671 |
ALSTRIA OFFICE REIT AG SR UNSECURED REGS 06/26 1.5 6/26 | XS2191013171 | Deutschland | EUR | Bond | - | - | unknown | 0.0001224237 |
MITSUBISHI UFJ FIN GRP | XS2028899727 | Japan | EUR | Bond | - | - | unknown | 0.0001222896 |
KELLOGG CO 11/22 AN528861 | XS1611042646 | Vereinigte Staaten von Amerika | EUR | Bond | Baa2 | - | unknown | 0.0001222196 |
ARKEMA JR SUBORDINA REGS 12/99 VAR | FR0013478252 | Frankreich | EUR | Bond | - | - | unknown | 0.0001217172 |
BELFIUS BANK SA 9/25 | BE6324012978 | Belgien | EUR | Bond | - | - | unknown | 0.0001217135 |
BBG010V0D650 KOMMUNALKREDIT AUSTRIA A SR UNSECURED REGS 05/24 0.25 5/24 | AT0000A2R9G1 | Österreich | EUR | Bond | - | - | unknown | 0.0001206315 |
ESSITY AB | XS2113167568 | Schweden | EUR | Bond | - | - | unknown | 0.000120623 |
BBG012GJYZY3 MBANK SA 09/27 1 9/27 | XS2388876232 | Polen | EUR | Bond | - | - | unknown | 0.000119873 |
ATLAS COPCO FINANCE | XS2046736752 | Schweden | EUR | Bond | - | - | unknown | 0.0001196327 |
BBG00YYX8B11 ERSTE GROUP BANK AG 1/31 | AT0000A2N837 | Österreich | EUR | Bond | - | - | unknown | 0.000117855 |
HELLA FINANCE INTERNATIONAL 05/24 AN388306 | XS1611167856 | Deutschland | EUR | Bond | Baa2 | - | unknown | 0.0001151997 |
SATO OYJ 2/28 | XS2233121792 | Finnland | EUR | Bond | - | - | unknown | 9.38276e-05 |
FONTERRA CO-OPERATIVE GROUP 11/24 EUR53606 | XS1515173315 | Neuseeland | EUR | Bond | A3 | - | unknown | 9.28322e-05 |
BBG00Z6ZZQY5 INVESTEC BANK PLC INDUSTRY 02/27 1 2/27 | XS2296207116 | Großbritannien (UK) | EUR | Bond | - | - | unknown | 9.00035e-05 |
JYSKE BANK 04/24 AM926837 | XS1592283391 | Dänemark | EUR | Bond | Baa2 | - | Financial | 8.16792e-05 |
TELEKOM FINANZMANAGEMENT 07/23 | XS0950055359 | Österreich | EUR | Bond | Baa2 | - | unknown | 6.41513e-05 |
STOCKLAND TRUST MANAGEMENT LTD 1.625% 2026-04-27 | XS1812887443 | Australien | EUR | Bond | - | - | unknown | 6.37848e-05 |
BENI STABILI SPA SIIQ 10/24 AP344908 | XS1698714000 | Italien | EUR | Bond | - | - | unknown | 6.32444e-05 |
SODEXHO SA 05/25 AS665958 | XS1823513343 | Frankreich | EUR | Bond | - | - | unknown | 6.2687e-05 |
DEXIA CREDIT LOCAL 09/23 AU589355 | XS1884706885 | Luxemburg | EUR | Bond | - | - | unknown | 6.21677e-05 |
METSO CORPORATION 06/24 AN790010 | XS1626574708 | Finnland | EUR | Bond | Baa2 | - | unknown | 6.20234e-05 |
BECTON DICKINSON & CO 05/23 AS581608 | XS1822506272 | Vereinigte Staaten von Amerika | EUR | Bond | Baa3 | - | unknown | 6.18277e-05 |
ALSTRIA OFFICE REIT-AG 04/23 EUR51858 | XS1346695437 | Deutschland | EUR | Bond | Baa2 | - | unknown | 6.16037e-05 |
BPCE SA 12/22 EUR45183 | FR0013067170 | Frankreich | EUR | Bond | A2 | - | unknown | 6.14636e-05 |
NOS SGPS SA 1.125% 2023-05-02 | PTNOSFOM0000 | Portugal | EUR | Bond | - | - | unknown | 6.12335e-05 |
BBG00ZNGWJL1 OP CORPORATE BANK PLC 3/31 | XS2322253944 | Finnland | EUR | Bond | - | - | unknown | 6.10627e-05 |
FOERENINGSBANKEN AB 11/22 AP657713 | XS1711933033 | Schweden | EUR | Bond | - | - | unknown | 6.08181e-05 |
PACCAR FINANCIAL EUROPE BV 3/23 | XS2126056204 | Niederlande | EUR | Bond | - | - | unknown | 6.06786e-05 |
0.125% HITACHI CAPITAL 11/22 | XS2083299284 | Japan | EUR | Bond | - | - | unknown | 6.06363e-05 |
EURO-BUXL 30Y BND DEC21 | ___ADI1WTD24 | Deutschland | EUR | Future | - | - | unknown | nan |
EURO-BOBL FUTURE DEC21 | ___ADI1WKH86 | Deutschland | EUR | Future | - | - | unknown | nan |
EURO-BUND FUTURE DEC21 | ___ADI1WTS85 | Deutschland | EUR | Future | - | - | unknown | nan |