Below, a list of constituents for LU0641006290 (Global Government Bond UCITS ETF 2D GBP Hedged) is shown. In total, LU0641006290 consists of 1053 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 |
BBG010SWJ5N0 WI TREASURY NOTE 5/31 | US91282CCB54 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0045429694 |
BBG0121BH241 T 1.25 08/15/31 8/31 | US91282CCS89 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0045131203 |
BBG00Z4HNDG9 TREASURY NOTE 2/31 | US91282CBL46 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0041197794 |
BBG00Y2NNDT7 T 0.875 11/15/30 11/30 | US91282CAV37 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0040831658 |
TREASURY NOTE 8/30 | US91282CAE12 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0038479027 |
BBG010SWJ9R8 WI TREASURY BOND 5/51 | US912810SX72 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0032769996 |
BBG0121BH1T6 WI TREASURY BOND 8/51 | US912810SZ21 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.003009167 |
4.5% REPUBLIC OF FRANCE 04/41 | FR0010773192 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0029711342 |
10-YR NOTE 5/30 | US912828ZQ64 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0029601113 |
BBG00Z4HNFG4 WI TREASURY SEC 2/51 | US912810SU34 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0028991525 |
FRANCE (REPUBLIC OF) 05/30 | FR0011883966 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0028741405 |
US TREASURY NOTES 02/28 9128283W | US9128283W81 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0027720885 |
US TREASURY NOTES 08/24 912828D5 | US912828D564 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0027645133 |
2.75% REPUBLIC OF FRANCE 10/27 | FR0011317783 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0027617727 |
BBG0112HZJJ6 WI TRESURYSEC. 5/41 | US912810SY55 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0027518772 |
BBG00Z83WQS4 TREASURY BOND 2/41 | US912810SW99 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0027417552 |
US TREASURY NOTES 08/28 9128284V | US9128284V99 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0027335709 |
REPUBLIC OF FRANCE 5/31 | FR0012993103 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0027026035 |
EURO CURRENCY | _CURRENCYEUR | - | EUR | Cash | - | - | unknown | 0.0026756297 |
US TREASURY NOTES 05/28 9128284N | US9128284N73 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0025675498 |
US TREASURY NOTES 11/28 9128285M | US9128285M81 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0025486947 |
US TREASURY NOTES 02/29 9128286B | US9128286B18 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0025454744 |
5.5% REPUBLIC OF FRANCE 04/29 | FR0000571218 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0025207178 |
REPUBLIC OF FRANCE 10/32 | FR0000187635 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0025023654 |
BBG00Y2NNCT9 US TREASURY N/B 1.625 11/15/2050 11/50 | US912810SS87 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0024992041 |
0.125 US TR NTS 23 | US91282CCN92 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0024882765 |
BBG00ZCLW1Y7 TREASURY NOTE 2/26 | US91282CBQ33 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0024617294 |
UNITED STATES TREASURY NOTE/BOND 11/24 | US912828G385 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0024477822 |
REPUBLIC OF FRANCE 5/28 | FR0013286192 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0024161465 |
UNITED STATES TREASURY NOTE/BOND 11/25 | US912828M565 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0024102745 |
BBG00Z0G3YM4 TREASURY NOTE 1/26 | US91282CBH34 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0024096345 |
BBG0127QKZM5 WI TREASURY SEC 8/28 | US91282CCV19 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023994757 |
BBG011J0DQ21 TREASURY NOTE 6/28 | US91282CCH25 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023877929 |
BBG0115Q7979 TREASURY NOTE 5/28 | US91282CCE93 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023641516 |
BBG012DBSVS6 UNITED STS TREAS NTS 00375 24 9/24 | US91282CCX74 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023596363 |
BBG00ZQYRS44 WI TREASURY SEC 3/28 | US91282CBS98 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023595167 |
BBG012PP9GR7 TREASURY NOTE 9/28 | US91282CCY57 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023559074 |
BBG00ZCLVT68 U S TREASURY NOTE (WI) 2/28 | US91282CBP59 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023529557 |
UNITED STATES TREASURY NOTE/BOND 5/24 | US912828WJ58 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.002351635 |
BBG0109YYZ18 TREASURY NOTE 4/28 | US91282CBZ32 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.002346952 |
UNITED STATES TREASURY NOTE/BOND 8/25 | US912828K742 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0023401705 |
REPUBLIC OF FRANCE 11/28 | FR0013341682 | Frankreich | EUR | Bond | - | - | unknown | 0.0023381157 |
BBG012PP9D12 UNITED STATES TREAS 00250 23 9/23 | US91282CDA62 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023380868 |
UNITED STATES TREASURY NOTE/BOND 5/27 | US912828X885 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.002325754 |
0.625 US TR NTS 26 | US91282CCP41 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023242118 |
3.5% FRANCE (GOVT OF) 04/26 | FR0010916924 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0023224011 |
TREASURY BOND 8/50 | US912810SP49 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023221959 |
BBG0127QL0Z7 WI TREASURY NOTE 8/26 | US91282CCW91 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.002318428 |
BBG011J0DR65 TREASURY NOTE 6/23 | US91282CCK53 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023166813 |
BBG012WC2KF9 TREASURY NOTE 10/24 | US91282CDB46 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.002314422 |
US TREASURY BONDS 02/49 912810SF | US912810SF66 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0023060261 |
TWEB WHEN ISSUED UNITED STATES 30 YEAR 2.875% 2049-05-15 | US912810SH23 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.002278771 |
1 US TR NTS 28 | US91282CCR07 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022755705 |
BBG012PP9F99 UNITED STATES TREAS 00875 26 9/26 | US91282CCZ23 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022734149 |
BBG00YPGC516 TREASURY NOTE 12/27 | US91282CBB63 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022725023 |
REPUBLIC OF GERMANY 8/46 | DE0001102341 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0022682951 |
BBG00Z0G4261 WI TREASURY SEC. 1/28 | US91282CBJ99 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022618016 |
T 0 7/8 06/30/26 | US91282CCJ80 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022549678 |
US TREASURY BONDS 08/48 912810SD | US912810SD19 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022462681 |
BBG0115Q78T7 WI TREASURY NOTE 5/26 | US91282CCF68 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022427389 |
US TREASURY BONDS 11/48 912810SE | US912810SE91 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022412915 |
BBG011N6P8V8 JGB 0.1 06/20/31 6/31 | JP1103631M74 | Japan | JPY | Bond | - | - | unknown | 0.0022343233 |
U S TREASURY NOTE 2/30 | US912828Z948 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022318102 |
T 0 1/8 02/15/24 | US91282CBM29 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022229469 |
UNITED STATES TREASURY NOTE/BOND 2/25 | US912828J272 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0022220872 |
4.25% FRANCE (GOVT OF) 10/23 | FR0010466938 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0022158181 |
BBG0109YYT12 TREASURY NOTE 4/26 | US91282CBW01 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022116538 |
UNITED STATES TREASURY NOTE/BOND 11/23 | US912828WE61 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0022085742 |
FRANCE REPUBLIC OF (GOVERNMENT) 0.000% 2025-03-25 | FR0013415627 | Frankreich | EUR | Bond | - | - | unknown | 0.002205176 |
BBG00Z0G40P4 WI TREASURY NOTE 1/23 | US91282CBG50 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0022006695 |
TWEB WHEN ISSUED UNITED STATES 10 YEAR 2.500% 2029-05-15 | US9128286T26 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021992213 |
BBG00ZJYW555 WI TREASURY NOTE 3/24 | US91282CBR16 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021970979 |
BBG00ZQYRTB4 US TREASURY N/B 0.125 03/31/2023 3/23 | US91282CBU45 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021951877 |
FRTR 1 1/4 05/25/36 | FR0013154044 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0021943004 |
BBG00YPGC5H9 TREASURY NOTE 12/22 | US91282CBD20 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021835946 |
FRANCE (GOVT OF) BONDS REGS 11/30 0.00000 11/30 | FR0013516549 | Frankreich | EUR | Bond | - | - | unknown | 0.0021801449 |
US TREASURY N/B 2 2/15/2050 2/50 | US912810SL35 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021704967 |
UNITED STATES TREASURY NOTE/BOND 2/26 | US912828P469 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0021610993 |
BBG00ZQYRW45 U S TREASURY NOTE US91282CBT71 3/26 | US91282CBT71 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021589291 |
REPUBLIC OF FRANCE 5/29 | FR0013407236 | Frankreich | EUR | Bond | - | - | unknown | 0.0021540663 |
REPUBLIC OF FRANCE 5/26 | FR0013131877 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0021411646 |
REPUBLIC OF FRANCE 5/23 | FR0011486067 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0021396266 |
UNITED STATES TREASURY NOTE/BOND 5/25 | US912828XB14 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0021060492 |
T 0 1/4 06/15/24 | US91282CCG42 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0021038357 |
UNITED STATES TREASURY NOTE/BOND 11/22 | US912828TY62 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0021021159 |
BBG0127QKZ72 US TREASURY N/B 8/23 | US91282CCU36 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020899865 |
BBG0115Q76Q4 TREASURY NOTE 5/23 | US91282CCD11 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0020739402 |
2.5% REPUBLIC OF GERMANY 07/44 | DE0001135481 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0020659106 |
US T-NOTE 0.25% 9/30/25 9/25 | US91282CAM38 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020603346 |
BBG010SWJ8X3 WI TREASURY NOTE 5/24 | US91282CCC38 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020597341 |
UNITED STATES TREASURY NOTE/BOND 3/24 | US912828W713 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0020544453 |
US TREASURY N/B 2/24 | US912828B667 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0020536117 |
UNITED STATES TREASURY NOTE/BOND 8/26 | US9128282A70 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0020534507 |
BBG00YPGC5B5 TREASURY NOTE 12/25 | US91282CBC47 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020385062 |
4% BRD BUNDESANLEIHE 2037 | DE0001135275 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.002037642 |
REPUBLIC OF FRANCE 5/25 | FR0012517027 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.002030742 |
UNITED STATES TREASURY NOTE/BOND 5/26 | US912828R366 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0020268252 |
BBG0109YZ0Z7 TREASURY NOTE 4/23 | US91282CBX83 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020185368 |
UNITED STATES TREASURY NOTE/BOND 11/22 | US912828M805 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0020178387 |
TREASURY NOTE 10/25 | US91282CAT80 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0020101093 |
REPUBLIC OF FRANCE 04/35 | FR0010070060 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0020048319 |
REPUBLIC OF ITALY 5/31 | IT0001444378 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0019944461 |
UNITED STATES TREASURY NOTE/BOND 11/27 | US9128283F58 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0019910029 |
BBG00Y60QQQ4 UNITED STATES TREAS BDS 11/40 | US912810ST60 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0019680647 |
FRTR 0 11/25/29 | FR0013451507 | Frankreich | EUR | Bond | - | - | unknown | 0.001966184 |
30-YR BOND 5/50 | US912810SN90 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0019656246 |
REPUBLIC OF FRANCE 5/34 | FR0013313582 | Frankreich | EUR | Bond | - | - | unknown | 0.0019639861 |
BBG0121BH1D3 TREASURY NOTE 8/24 | US91282CCT62 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0019630217 |
BBG00Y911FP1 UNITED STATES TREASURY NOTE/BO 11/25 | US91282CAZ41 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0019614765 |
UNITED STATES TREASURY NOTE/BOND 11/26 | US912828U246 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0019566956 |
US TREASURY BONDS 05/48 912810SC | US912810SC36 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001947482 |
BBG00ZCLW1R5 TREASURY NOTE 2/23 | US91282CBN02 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0019354338 |
REPUBLIC OF FRANCE 3/24 | FR0013344751 | Frankreich | EUR | Bond | - | - | unknown | 0.0019340607 |
REPUBLIC OF FRANCE 11/24 | FR0011962398 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.001924357 |
4% REPUBLIC OF FRANCE 10/38 | FR0010371401 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.001913232 |
FRANCE (REPUBLIC OF) 26 0.0 2/26 | FR0013508470 | Frankreich | EUR | Bond | - | - | unknown | 0.0019072044 |
REPUBLIC OF ITALY 11/29 | IT0001278511 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0018964764 |
BBG01248GVN1 TREASURY BOND 8/41 | US912810TA60 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018915721 |
1% FRTR 05/27 | FR0013250560 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0018851144 |
REPUBLIC OF FRANCE 5/24 | FR0011619436 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0018826918 |
BBG00Y9116P1 US TREASURY N/B 0.125 11/30/2022 11/22 | US91282CAX92 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018726039 |
TREASURY NOTE 10/27 | US91282CAU53 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018673758 |
REPUBLIC OF FRANCE | FR0011461037 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0018526999 |
BBG00Y911519 WI TREASURY SEC. 11/27 | US91282CAY75 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018495565 |
TREASURY BOND 8/40 | US912810SQ22 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001849545 |
REPUBLIC OF FRANCE 3/23 | FR0013283686 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0018492882 |
1% FRTR 11/25 | FR0012938116 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0018484892 |
BBG00Y2NNDH0 US TREASURY N/B 11/23 | US91282CAW10 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018449558 |
UNITED STATES TREASURY NOTE/BOND 2/27 | US912828V988 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0018435302 |
REPUBLIC OF GERMANY 8/48 | DE0001102432 | Deutschland | EUR | Bond | - | - | unknown | 0.0018352028 |
REPUBLIC OF FRANCE 11/26 | FR0013200813 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0018285404 |
US TREASURY BONDS 02/48 912810SA | US912810SA79 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0018177508 |
4,75% REPUBLIC OF GERMANY 07/34 | DE0001135226 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.00180412 |
UNITED STATES TREASURY NOTE/BOND 8/27 | US9128282R06 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0018040335 |
US 8/49 | US912810SJ88 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001799797 |
REPUBLIC OF ITALY 2/37 | IT0003934657 | Italien | EUR | Bond | Baa3 | FTSE MIB Index | unknown | 0.0017927502 |
4,75% REPUBLIC OF GERMANY 07/40 | DE0001135366 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0017901704 |
UNITED STATES TREASURY NOTE/BOND 5/24 | US912828XT22 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.00178683 |
BBG00YT56GT9 WI TREASURY SEC. 1/24 | US91282CBE03 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017866431 |
2.375% UNITED STATES OF AMERICA 11/49 | US912810SK51 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017806032 |
UNITED STATES TREASURY NOTE/BO 7/25 | US91282CAB72 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017775921 |
REPUBLIC OF FRANCE 5/50 | FR0013404969 | Frankreich | EUR | Bond | Baa1 | - | unknown | 0.0017743086 |
4% REPUBLIC OF FRANCE 04/55 | FR0010171975 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0017723751 |
0.375% UNITED STATES OF AMERICA 04/24 | US91282CBV28 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017687986 |
UNITED STATES TREAS NTS 9/27 | US91282CAL54 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017670124 |
US TREASURY N/B 5/23 | US912828VB32 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0017635293 |
BBG00ZX8D502 FRANCE (REPUBLIC OF) 0% NOV 25 2031 11/31 | FR0014002WK3 | Frankreich | EUR | Bond | - | - | unknown | 0.0017607226 |
US 8/29 | US912828YB05 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017386272 |
BBG00YRXQ219 JAPAN (GOVERNMENT OF) 10YR #361 0.1% DEC 20 2030 12/30 | JP1103611M11 | Japan | JPY | Bond | - | - | unknown | 0.001735846 |
TREASURY NOTE 10/22 | US91282CAR25 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017320831 |
REPUBLIC OF FRANCE 5/48 | FR0013257524 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0017311724 |
BBG011QMZNZ2 TREASURY NOTE 7/24 | US91282CCL37 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0017268899 |
JAPAN-328(10 YR ISSUE) 3/23 | JP1103281D37 | Japan | JPY | Bond | A1 | - | unknown | 0.0017047506 |
6% REPUBLIC OF FRANCE 10/25 | FR0000571150 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0016976557 |
TREASURY NOTE 10/23 | US91282CAP68 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0016929254 |
6% KINGDOM OF SPAIN 01/29 | ES0000011868 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0016856651 |
US TREASURY N/B 12/22 | US912828N308 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0016677695 |
JAPAN-37(30 YEAR ISSUE) 9/42 | JP1300371C98 | Japan | JPY | Bond | A1 | - | unknown | 0.0016670283 |
TSY 4 1/4% 2055 12/55 | GB00B06YGN05 | Großbritannien (UK) | GBP | Bond | Aa2 | FTSE All-Share Index | unknown | 0.0016595059 |
0.5% UNITED STATES OF AMERICA 03/25 | US912828ZF00 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0016505803 |
US TREASURY N/B 8/23 | US912828VS66 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0016440452 |
REPUBLIC OF FRANCE 6/39 | FR0013234333 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0016289496 |
5.5% REPUBLIC OF GERMANY 01/31 | DE0001135176 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0016222757 |
UNITED KINGDOM | GB00BBJNQY21 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0016218023 |
UNITED KINGDOM OF GREAT BRITAIN AN 0.125% JAN 31 2023 1/23 | GB00BL68HG94 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0016208853 |
WIT 0.25 06/30/25-WIT WI 06/30/25 6/25 | US912828ZW33 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0016197955 |
UNITED STATES TREASURY NOTE/BOND 11/47 | US912810RZ30 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0016184875 |
JAPAN- 329(10 YR ISSUE) 6/23 | JP1103291D68 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0016167785 |
4,5% UNITED KINGDOM 12/42 | GB00B1VWPJ53 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0016142912 |
5.75% KINGDOM OF SPAIN 07/32 | ES0000012411 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0016059341 |
REPUBLIC OF ITALY 8/34 | IT0003535157 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0016051258 |
6.5% REPUBBLICA ITALIANA 11/27 | IT0001174611 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0015983073 |
WI TREASURY N/B 0.375 07/31/2027 7/27 | US91282CAD39 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015945786 |
WI TREASURY NOTE 8/25 | US91282CAJ09 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015890806 |
UK CONV GILT 0.125% JAN 31 2024 1/24 | GB00BMGR2791 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.001577249 |
UNITED STATES TREASURY NOTE/BO | US912828ZT04 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015747262 |
4.9% KINGDOM OF SPAIN 07/40 | ES00000120N0 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.00156782 |
4.2% KINGDOM OF SPAIN 1/37 | ES0000012932 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.001564064 |
5% REPUBBLICA ITALIANA 08/39 | IT0004286966 | Italien | EUR | Bond | Baa3 | FTSE MIB Index | unknown | 0.0015613072 |
REPUBLIC OF ITALY 9/40 | IT0004532559 | Italien | EUR | Bond | Baa3 | FTSE MIB Index | unknown | 0.0015597873 |
UNITED STATES TREASURY NOTE/BO 4/25 | US912828ZL77 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015503679 |
4.7% KINGDOM OF SPAIN 07/41 | ES00000121S7 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0015492137 |
4% REPUBLIC OF FRANCE 04/60 | FR0010870956 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0015477933 |
UNITED STATES TREASURY NOTE/BOND 2/45 | US912810RK60 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0015365624 |
BBG011Q69479 JAPAN (5 YEAR ISSUE) 6/26 | JP1051481M76 | Japan | JPY | Bond | - | - | unknown | 0.0015249842 |
JAPAN-327 (10 YR ISSUE) 12/22 | JP1103271D13 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.001518041 |
REPUBLIC OF GERMANY 2/26 | DE0001102390 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.001516122 |
UNITED KINGDOM 1/45 | GB00BN65R313 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0015135182 |
TREASURY NOTE 9/23 | US91282CAK71 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015106812 |
UNITED KINGDOM 1/44 | GB00B84Z9V04 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0015086638 |
WI TREASURY SEC. | US912810SR05 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015084437 |
BBG00YFFCLJ5 WI TREASURY NOTE 12/23 | US91282CBA80 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015083118 |
KINGDOM OF NETHERLANDS 1/47 | NL0010721999 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0015059583 |
WI TREASURY SEC. 6/27 | US912828ZV59 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0015037165 |
ITALY 3/30 | IT0005024234 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0015033812 |
REPUBLIC OF GERMANY 2/27 | DE0001102416 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0015006987 |
JAPAN (10 YR ISSUE) 12/23 | JP1103321DC2 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0014977871 |
4.25% REPUBLIC OF GERMANY 07/39 | DE0001135325 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0014970826 |
WI TREASURY SEC 7/23 | US912828ZY98 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014792667 |
USA, NOTE 0.125 15MAY2023 5/23 | US912828ZP81 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014721542 |
NETHERLANDS GOVERNMENT 1/42 | NL0009446418 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0014653133 |
UNITED STATES TREASURY NOTE/BOND 2/47 | US912810RV26 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0014644753 |
3.25% REPUBLIC OF GERMANY 07/42 | DE0001135432 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0014580953 |
5% ROYAUME DE BELGIQUE 03/35 | BE0000304130 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0014558146 |
US TREASURY BONDS 08/44 912810RH | US912810RH32 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0014530625 |
ITALY 9/28 | IT0004889033 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0014487237 |
TREASURY NOTE 8/27 | US91282CAH43 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001446928 |
1.50% UNITED STATES OF AMERICA 11/24 | US912828YV68 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014467868 |
WI TREASURY NOTE 8/23 | US91282CAF86 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014465739 |
1.75 US TR NTS 24 | US9128286Z85 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014424407 |
UNITED STATES TREASURY NOTE/BOND 2/23 | US912828UN88 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0014360269 |
BBG00ZVYV785 JAPAN (GOVERNMENT OF) 31 0.1 3/31 | JP1103621M43 | Japan | JPY | Bond | - | - | unknown | 0.0014347072 |
US TREASURY N/B 1.75 7/31/2024 07/24 912828Y87 | US912828Y875 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014336541 |
UNITED STATES TREASURY NOTE/BOND 8/47 | US912810RY64 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0014286867 |
1.75% UNITED STATES OF AMERICA 11/29 | US912828YS30 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0014213293 |
DBR 0 08/15/30 | DE0001102507 | Deutschland | EUR | Bond | - | - | unknown | 0.0014182761 |
TSY 4 1/4% 2046 12/46 | GB00B128DP45 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0014166968 |
JAPAN (GOVERNMENT OF) 20YR #174 0.4% SEP 20 2040 9/40 | JP1201741LA9 | Japan | JPY | Bond | - | - | unknown | 0.0014105562 |
5.75% REPUBBLICA ITALIANA 02/33 | IT0003256820 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0014020816 |
JAPAN -34(30 YEAR ISSUE) 03/41 | JP1300341B39 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0013855048 |
REPUBLIC OF GERMANY 2/25 | DE0001102374 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0013821238 |
2.0% JAPAN-36(30 YEAR ISSUE) 3/42 | JP1300361C33 | Japan | JPY | Bond | A1 | - | unknown | 0.0013774306 |
2% JAPAN 09/40 | JP1300331A99 | Japan | JPY | Bond | A1 | - | unknown | 0.0013771565 |
UNITED STATES TREASURY NOTE/BO | US912828YY08 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013593582 |
JAPAN -35(30 YEAR ISSUE) 09/41 | JP1300351B93 | Japan | JPY | Bond | A1 | - | unknown | 0.0013558526 |
US TREASURY N/B 5/43 | US912810RB61 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0013523397 |
UNITED STATES TREASURY NOTE/BOND 8/46 | US912810RT79 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0013521604 |
USA, NOTE 0.25% 15APR2023 4/23 | US912828ZH65 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013509069 |
UNITED STATES TREASURY NOTE/BOND 4/24 | US9128286R69 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013486222 |
REPUBLIC OF GERMANY 8/26 | DE0001102408 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.001346907 |
0.75 FRA 52 TN | FR0013480613 | Frankreich | EUR | Bond | - | - | unknown | 0.0013423835 |
REPUBLIC OF GERMANY 8/27 | DE0001102424 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0013403222 |
UNITED STATES TREASURY NOTE/BO 10/24 912828YM6 | US912828YM69 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013321432 |
ITALY 9/44 | IT0004923998 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0013258915 |
REPUBLIC OF GERMANY 8/25 | DE0001102382 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0013208165 |
4% KINGDOM OF NIEDERLANDE 01/37 | NL0000102234 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0013195737 |
4.25% ROYAUME DE BELGIQUE 03/41 | BE0000320292 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0013158081 |
US TREASURY NOTES 01/24 9128285Z | US9128285Z94 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013133903 |
1.125 US TR NTS 25 | US912828ZC78 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0013121046 |
4.65% KINGDOM OF SPAIN 07/25 | ES00000122E5 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0012939732 |
BBG01064VJ70 JAPAN (GOVERNMENT OF) 20YR #176 0.5% MAR 20 2041 3/41 | JP1201761M45 | Japan | JPY | Bond | - | - | unknown | 0.001291938 |
BBG00Y3L4KR7 UKT 0 1/4 07/31/31 7/31 | GB00BMGR2809 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0012910345 |
5.9% SPAIN 07/26 | ES00000123C7 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0012905623 |
BBG00YY984W6 FRANCE (REPUBLIC OF) 2/24 | FR0014001N46 | Frankreich | EUR | Bond | - | - | unknown | 0.00128968 |
CANADA (GOVERNMENT OF) 12/51 135087H7 | CA135087H722 | Kanada | CAD | Bond | - | - | unknown | 0.0012862213 |
DE 8/50 | DE0001102481 | Deutschland | EUR | Bond | - | - | unknown | 0.0012845486 |
UNITED STATES TREASURY NOTE/BOND 5/46 | US912810RS96 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0012818054 |
ITALY 3/32 | IT0005094088 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0012798705 |
UNITED STATES TREASURY NOTE/BOND 4/27 | US912828ZN34 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001278351 |
0.5% UNITED STATES OF AMERICA 03/23 | US912828ZD51 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0012755175 |
UNITED KINGDOM OF GREAT BRITAIN AN 1.25% OCT 22 2041 | GB00BJQWYH73 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0012742669 |
REPUBLIC OF GERMANY 2/28 | DE0001102440 | Deutschland | EUR | Bond | - | - | unknown | 0.0012728701 |
FEDERAL REPUBLIC OF GERMANY 2/29 | DE0001102465 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0012703993 |
ITALY 3/24 | IT0004953417 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0012654871 |
4,75% UNITED KINGDOM 12/38 | GB00B00NY175 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0012613916 |
JAPAN-32(30 YEAR ISSUE) 03/40 | JP1300321A34 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0012606736 |
JAPAN (GOVERNMENT OF) 20YR #17 6/40 | JP1201731L76 | Japan | JPY | Bond | - | - | unknown | 0.0012591533 |
WI TREASURY SEC. | US912828ZS21 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001256372 |
TSY 4% 2060 1/60 | GB00B54QLM75 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0012554188 |
4.5% KINGDOM OF DENMARK 11/39 | DK0009922320 | Dänemark | DKK | Bond | Aaa | - | unknown | 0.0012489018 |
BBG00YZ11Q23 JAPAN (GOVERNMENT OF) 20YR #175 0.5% DEC 20 2040 12/40 | JP1201751M13 | Japan | JPY | Bond | - | - | unknown | 0.0012477827 |
KINGDOM OF SPAIN 10/44 | ES00000124H4 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0012433791 |
REPUBLIC OF GERMANY 8/28 | DE0001102457 | Deutschland | EUR | Bond | - | - | unknown | 0.0012387208 |
UNITED STATES TREASURY NOTE/BOND 11/44 | US912810RJ97 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.001238121 |
BBG011RKTFY0 JAPAN (GOVERNMENT OF) 20YR #17 6/41 | JP1201771M76 | Japan | JPY | Bond | - | - | unknown | 0.0012294586 |
KINGDOM OF SPAIN 10/25 | ES00000127G9 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0012288727 |
GERMANY (FEDERAL REPUBLIC) 30 0.0 2/30 | DE0001102499 | Deutschland | EUR | Bond | - | - | unknown | 0.001228133 |
ITALY 8/29 | IT0005365165 | Italien | EUR | Bond | - | - | unknown | 0.0012279591 |
4.25%UK06/32 | GB0004893086 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0012246095 |
REPUBLIC OF ITALY 3/25 | IT0004513641 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0012236604 |
US TREASURY N/B 2/44 | US912810RE01 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0012201266 |
JAPAN (GOVERNMENT OF) 12/29 | JP1103571L10 | Japan | JPY | Bond | - | - | unknown | 0.0012197671 |
KINGDOM OF SPAIN 10/26 | ES00000128H5 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0012155601 |
REPUBLIC OF GERMANY 8/23 | DE0001102325 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0012149148 |
FEDERAL REPUBLIC OF GERMANY 8/29 | DE0001102473 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0012105136 |
5.5% ROYAUME DE BELGIQUE 03/28 | BE0000291972 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0012104617 |
4,25% UNITED KINGDOM 03/36 | GB0032452392 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0012020676 |
BONOS Y OBLIG DEL ESTADO SR UNSECURED 144A REGS 10/30 1 10/30 | ES0000012G34 | Spanien | EUR | Bond | - | - | unknown | 0.0012009479 |
JAPAN (10 YEAR ISSUE) 3/30 | JP1103581L42 | Japan | JPY | Bond | - | - | unknown | 0.0011999585 |
4.5% REPUBLIC OF ITALY 03/26 | IT0004644735 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0011940616 |
UNITED KINGDOM 7/65 | GB00BYYMZX75 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0011939442 |
US TREASURY NOTES 25 1.375 1/25 | US912828Z526 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0011935127 |
IT 4/30 | IT0005383309 | Italien | EUR | Bond | - | - | unknown | 0.0011925097 |
US TREASURY NOTES 03/26 9128286L | US9128286L99 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0011918602 |
US TREASURY N/B 8/43 | US912810RC45 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011879961 |
DBR 0 08/15/31 | DE0001102564 | Deutschland | EUR | Bond | - | - | unknown | 0.0011869327 |
US TREASURY N/B 11/43 | US912810RD28 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0011868651 |
4.75% REPUBBLICA ITALIANA 8/23 | IT0004356843 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.001177909 |
SPAIN (KINGDOM OF) 07/30 EUR36946 | ES00000127A2 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0011761668 |
UNITED STATES TREASURY NOTE/BOND 2/46 | US912810RQ31 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011753193 |
BBG0109ZG5H4 CANADIAN GOVERNMENT BOND 6/31 | CA135087M276 | Kanada | CAD | Bond | - | - | unknown | 0.0011751784 |
SPAIN (KINGDOM OF) 10/27 AO121007 | ES0000012A89 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0011746253 |
FEDERAL REPUBLIC OF GERMANY 4/24 | DE0001141794 | Deutschland | EUR | Bond | - | - | unknown | 0.0011716821 |
UNITED STATES TREASURY NOTE/BOND 5/47 | US912810RX81 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011708791 |
UNITED KINGDOM 07/57 GBP08099 | GB00BD0XH204 | Großbritannien (UK) | GBP | Bond | Aa2 | - | unknown | 0.0011631808 |
ITALY (REPUBLIC OF) 02/28 AQ935391 | IT0005323032 | Italien | EUR | Bond | - | - | unknown | 0.0011617282 |
US TREASURY NOTES 12/23 9128285U | US9128285U08 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.001160556 |
WIT 1.625 09/30/24-WIT WI 09/30/24 9/24 | US912828YH74 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.00115957 |
BUNDESREPUB. DEUTSCHLAND 2/24 | DE0001102333 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0011540562 |
US TREASURY NOTES 02/25 9128283Z | US9128283Z13 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0011529732 |
KINGDOM OF SPAIN 10/24 | ES00000126B2 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0011526774 |
UNITED KINGDOM 12/49 | GB00B39R3707 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0011514756 |
ITALY 1.6501 DEC 2030 12/30 | IT0005413171 | Italien | EUR | Bond | - | - | unknown | 0.0011508564 |
SPAIN (KINGDOM OF) 07/28 AT282059 | ES0000012B88 | Spanien | EUR | Bond | - | - | unknown | 0.0011485391 |
KINGDOM OF SPAIN 10/28 | ES00000124C5 | Spanien | EUR | Bond | Baa1 | IBEX 35 Index | unknown | 0.0011467213 |
JAPAN (GOVERNMENT OF) 10YR #35 6/30 | JP1103591L73 | Japan | JPY | Bond | - | - | unknown | 0.0011411159 |
OBL 0 04/10/26 | DE0001141836 | Deutschland | EUR | Bond | - | - | unknown | 0.0011380543 |
1.7% JAPAN-140 (20 YR ISSUE) 09/32 | JP1201401C92 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0011375618 |
UNITED KINGDOM 09/37 GBP07899 | GB00BZB26Y51 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0011372152 |
4,75% UNITED KINGDOM 12/30 | GB00B24FF097 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0011348359 |
JAPAN (GOVT OF) 40Y #1 60 0.5 | JP1400131L54 | Japan | JPY | Bond | - | - | unknown | 0.0011324662 |
GERMANY (FEDERAL REPUBLIC OF) 10/25 | DE0001141828 | Deutschland | EUR | Bond | - | - | unknown | 0.0011317043 |
KINGDOM OF SPAIN 4/27 | ES00000128P8 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0011297958 |
4.25% UNITED KINGDOM 12/40 | GB00B6460505 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.001129311 |
KINGDOM OF SPAIN 4/28 | ES0000012B39 | Spanien | EUR | Bond | - | - | unknown | 0.0011261178 |
US TREASURY NOTES 02/26 9128286F | US9128286F22 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0011254919 |
US TREASURY NOTES 12/24 9128283P | US9128283P31 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011220701 |
US 8/24 | US912828YE44 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011207704 |
KINGDOM OF SPAIN 4/26 | ES00000127Z9 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.001118413 |
KINGDOM OF SPAIN 4/24 | ES00000124W3 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0011155823 |
SPAIN (KINGDOM OF) 07/35 AX414755 | ES0000012E69 | Spanien | EUR | Bond | - | - | unknown | 0.001112562 |
ITALY (REPUBLIC OF) 06/26 EUR51571 | IT0005170839 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0011104449 |
UNITED STATES TREASURY NOTE/BOND 8/45 | US912810RN00 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011083525 |
JAPAN GOVERNMENT TWENTY YEAR BOND 9/34 | JP1201501E99 | Japan | JPY | Bond | A1 | - | unknown | 0.0011061993 |
US TREASURY NOTES 01/23 9128283U | US9128283U26 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0011060059 |
UNITED KINGDOM OF GREAT BRITAIN AN 0.625% JUL 31 2035 7/35 | GB00BMGR2916 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0011001063 |
4.15% REPUBLIC OF AUSTRIA 03/37 | AT0000A04967 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0010989077 |
UNITED KINGDOM 07/23 AO326331 | GB00BF0HZ991 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0010974221 |
UNITED STATES TREASURY NOTE/BOND 8/24 | US9128282U35 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010956989 |
JAPAN (GOVERNMENT OF) 39 0.3 12/39 | JP1201711L13 | Japan | JPY | Bond | - | - | unknown | 0.0010945063 |
US TREASURY NOTES 04/24 912828X7 | US912828X703 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010914004 |
KINGDOM OF SPAIN 10/46 | ES00000128C6 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0010883838 |
BBG00YPZ98W8 BUNDESREPUB. DEUTSCHLAND BONDS REGS 02/31 0.00000 2/31 | DE0001102531 | Deutschland | EUR | Bond | - | - | unknown | 0.0010882655 |
3,75% UNITED KINGDOM 07/52 | GB00B6RNH572 | Großbritannien (UK) | GBP | Bond | Aa2 | FTSE All-Share Index | unknown | 0.0010869606 |
5.625% BRD BUNDESANLEIHE 01/28 | DE0001135069 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0010852383 |
BONOS Y OBLIG DEL ESTADO 10/23 | ES00000123X3 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0010846721 |
UNITED STATES TREASURY NOTE/BOND 11/23 | US912828U576 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010838516 |
BBG00ZY0RYK8 JAPAN (GOVERNMENT OF) 5YR #147 0.005% MAR 20 2026 3/26 | JP1051471M45 | Japan | JPY | Bond | - | - | unknown | 0.001079316 |
US TREASURY NOTES 10/22 9128283C | US9128283C28 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010787775 |
JAPAN -31(30 YEAR ISSUE) 09/39 | JP13003119A4 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0010765974 |
KINGDOM OF SPAIN 4/25 | ES00000126Z1 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0010753217 |
UNITED STATES TREASURY NOTE/BO 6/23 | US912828ZU76 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010696973 |
JAPAN-28 (30 YEAR ISSUE) 03/38 | JP1300281845 | Japan | JPY | Bond | A1 | - | unknown | 0.0010688529 |
JAPAN (20 YEAR ISSUE) 06/39 ACI1DBS53 | JP1201691K75 | Japan | JPY | Bond | A1 | - | unknown | 0.0010673286 |
ITALY (REPUBLIC OF) 12/28 AT758770 | IT0005340929 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0010644418 |
UNITED STATES TREASURY NOTE/BOND 5/44 | US912810RG58 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010636845 |
TWEB WHEN ISSUED UNITED STATES 5 YEAR 2.750% 2023-04-30 | US9128284L18 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010607495 |
ITALY (REPUBLIC OF) 12/25 EUR41157 | IT0005127086 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0010591096 |
UNITED KINGDOM 07/47 GBP07793 | GB00BDCHBW80 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0010566822 |
UNITED STATES TREASURY NOTE/BOND 4/25 | US9128284M90 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.001056461 |
SPAIN (KINGDOM OF) 07/33 AM606745 | ES00000128Q6 | Spanien | EUR | Bond | Baa2 | - | unknown | 0.0010558514 |
ITALY (REPUBLIC OF) 12/24 EUR32293 | IT0005045270 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0010556722 |
UNITED STATES TREASURY NOTE/BOND 3/23 | US912828Q293 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010554478 |
BUNDESREPUB. DEUTSCHLAND 5/23 | DE0001102317 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.001049223 |
UNITED STATES TREASURY NOTE/BOND 5/26 | US9128286X38 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010484465 |
5% UNITED KINGDOM 03/25 | GB0030880693 | Großbritannien (UK) | GBP | Bond | Aa3 | FTSE All-Share Index | unknown | 0.0010475456 |
JAPAN -30 (30 YR ISSUE) 03/39 | JP1300301940 | Japan | JPY | Bond | A1 | - | unknown | 0.0010468294 |
KINGDOM OF BELGIUM 6/25 | BE0000334434 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0010450183 |
REPUBLIC OF GERMANY 8/24 | DE0001102366 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0010431015 |
BUNDESREPUB. DEUTSCHLAND BONDS REGS 11/27 0.00000 11/27 | DE0001102523 | Deutschland | EUR | Bond | - | - | unknown | 0.0010412323 |
BBG00ZXCNG35 JAPAN (GOVERNMENT OF) 30YR #70 0.7% MAR 20 2051 3/51 | JP1300701M48 | Japan | JPY | Bond | - | - | unknown | 0.001040288 |
JAPAN (GOVT OF) 10Y #345 12/26 JPY25063 | JP1103451GC0 | Japan | JPY | Bond | A1 | - | unknown | 0.0010400624 |
FEDERAL REPUBLIC OF GERMANY 10/24 | DE0001141802 | Deutschland | EUR | Bond | - | - | unknown | 0.001038578 |
JAPAN (20 YEAR ISSUE) 9/33 | JP1201461D98 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0010378138 |
TSY 4 1/4% 2039 9/39 | GB00B3KJDS62 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0010377612 |
KINGDOM OF SPAIN 7/66 | ES00000128E2 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0010368034 |
BUNDESREPUB. DEUTSCHLAND BONDS REGS 05/35 0.00000 5/35 | DE0001102515 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0010330313 |
JAPAN (10YEAR ISSUE) 9/30 | JP1103601LA4 | Japan | JPY | Bond | - | - | unknown | 0.0010327377 |
SPAIN (KINGDOM OF) 1/26 | ES0000012G91 | Spanien | EUR | Bond | - | - | unknown | 0.0010323836 |
US TREASURY N/B 1.375 2/15/2023 2/23 | US912828Z864 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.001032335 |
KINGDOM OF SPAIN 4/29 | ES0000012E51 | Spanien | EUR | Bond | - | - | unknown | 0.0010313902 |
BBG00YVS5N12 BONOS Y OBLIG DEL ESTADO SR UNSECURED 144A REGS 04/31 0 4/31 | ES0000012H41 | Spanien | EUR | Bond | - | - | unknown | 0.0010297122 |
UNITED STATES TREASURY NOTE/BO | US912828YX25 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010293427 |
US TREASURY NOTES 1/23 | US912828Z294 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010289941 |
US TREASURY NOTES 05/25 9128284R | US9128284R87 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010280959 |
JAPAN (GOVERNMENT OF) 5YR #144 6/25 | JP1051441L76 | Japan | JPY | Bond | - | - | unknown | 0.001025612 |
ITALY 0.9515 SEP 2027 9/27 | IT0005416570 | Italien | EUR | Bond | - | - | unknown | 0.0010246372 |
SPAIN (KINGDOM OF) 23 0.0 4/23 | ES0000012F84 | Spanien | EUR | Bond | - | - | unknown | 0.0010200802 |
JAPAN (GOVERNMENT OF) 40 0.4 3/40 | JP1201721L45 | Japan | JPY | Bond | - | - | unknown | 0.0010189925 |
US TREASURY NOTES 05/23 9128284S | US9128284S60 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010172719 |
ITALY (REPUBLIC OF) 0.9% APR 1 2031 4/31 | IT0005422891 | Italien | EUR | Bond | - | - | unknown | 0.0010169508 |
BBG011PPK4Q4 JAPAN (GOVERNMENT OF) 30YR #71 6/51 | JP1300711M79 | Japan | JPY | Bond | - | - | unknown | 0.0010169146 |
1.875% UNITED STATES OF AMERICA 06/26 | US9128287B09 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010166423 |
ITALY 3/48 | IT0005273013 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0010166414 |
UNITED STATES TREASURY NOTE/BO 07/26 912828Y95 | US912828Y958 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0010116328 |
SPAIN (KINGDOM OF) 30 0.5 4/30 | ES0000012F76 | Spanien | EUR | Bond | - | - | unknown | 0.0010089527 |
0.8% SPAIN 07/27 | ES0000012G26 | Spanien | EUR | Bond | - | - | unknown | 0.0010087552 |
US TREASURY NOTES 02/23 9128284A | US9128284A52 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0010062264 |
CANADIAN GOVERNMENT 06/30 135087K37 | CA135087K379 | Kanada | CAD | Bond | - | - | unknown | 0.0010015364 |
JAPAN (20 YEAR ISSUE) 6/33 | JP1201451D66 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0010009994 |
US TREASURY NOTES 09/23 9128285D | US9128285D82 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009987111 |
UNITED STATES TREASURY NOTE/BOND 9/23 | US912828T263 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009977945 |
UNITED STATES TREASURY NOTE/BOND 2/24 | US912828W481 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009960166 |
JAPAN (GOVERNMENT OF) 12/38 AW892884 | JP1201671K12 | Japan | JPY | Bond | - | - | unknown | 0.0009951529 |
SPAIN, KINGDOM OF (GOVERNMENT) 0.600% 2029-10-31 | ES0000012F43 | Spanien | EUR | Bond | - | - | unknown | 0.0009942833 |
US TREASURY NOTES 08/25 9128284Z | US9128284Z04 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009914367 |
US TREASURY NOTES 12/23 912828V2 | US912828V236 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009904448 |
JAPAN (20 YEAR ISSUE) 09/39 ZQ2789928 | JP1201701KA5 | Japan | JPY | Bond | - | - | unknown | 0.0009855186 |
US TREASURY NOTES 02/24 9128286G | US9128286G05 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009816739 |
UNITED STATES TREASURY NOTE/BOND 11/42 | US912810QY73 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0009810669 |
UNITED STATES TREASURY NOTE/BOND 2/43 | US912810QZ49 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0009800879 |
US TREASURY NOTES 01/25 9128283V | US9128283V09 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009793834 |
UNITED STATES TREASURY NOTE/BOND 6/24 | US912828XX34 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009742846 |
JAPAN -29(30 YEAR ISSUE) 09/38 | JP13002918A0 | Japan | JPY | Bond | A1 | - | unknown | 0.0009735019 |
KINGDOM OF SPAIN 1/23 | ES00000123U9 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0009733344 |
US TREASURY NOTES 01/26 9128286A | US9128286A35 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009719885 |
TWEB WHEN ISSUED UNITED STATES 5 YEAR 2.625% 2023-03-31 | US9128284D91 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009718355 |
UNITED STATES TREASURY NOTE/BOND 8/23 | US9128282D10 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.00097113 |
US TREASURY NOTES 07/23 912828S9 | US912828S927 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009696704 |
US TREASURY NOTES 01/24 912828V8 | US912828V806 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009692542 |
US TREASURY NOTES 11/25 9128285N | US9128285N64 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009683205 |
2.05% ITALY 08/27 | IT0005274805 | Italien | EUR | Bond | - | - | unknown | 0.0009670958 |
US 8/26 | US912828YD60 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009665297 |
JAPAN (GOVERNMENT OF) 06/38 AT578853 | JP1201651J76 | Japan | JPY | Bond | - | - | unknown | 0.0009646262 |
UNITED STATES TREASURY NOTE/BOND 5/23 | US912828R697 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009638472 |
BBG00YT82JT1 JAPAN (GOVERNMENT OF) 30YR #69 0.7% DEC 20 2050 12/50 | JP1300691M16 | Japan | JPY | Bond | - | - | unknown | 0.0009621907 |
US TREASURY NOTES 11/23 9128285P | US9128285P13 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009570549 |
JAPAN (GOVERNMENT OF) 30YR #68 0.6% SEP 20 2050 9/50 | JP1300681LA7 | Japan | JPY | Bond | - | - | unknown | 0.0009564471 |
ITALY (REPUBLIC OF) 06/27 EUR54752 | IT0005240830 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0009562221 |
BUNDESREPUB. DEUTSCHLAND 2/23 | DE0001102309 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0009557693 |
REPUBLIC OF GERMANY 5/24 | DE0001102358 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0009547406 |
ITALY (REPUBLIC OF) 0.35% FEB 1 2025 2/25 | IT0005386245 | Italien | EUR | Bond | - | - | unknown | 0.000954504 |
JAPAN 20 YEAR BENCHMARK 0.400% 2039-03-20 | JP1201681K44 | Japan | JPY | Bond | - | - | unknown | 0.0009532496 |
KINGDOM OF THE NETHERLANDS 7/25 | NL0011220108 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0009502282 |
BBG00YVKNCZ6 JAPAN GOVERNMENT FIVE YEAR BON 12/25 | JP1051461M13 | Japan | JPY | Bond | - | - | unknown | 0.0009491455 |
US TREASURY NOTES 09/24 9128282Y | US9128282Y56 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009480885 |
KINGDOM OF SPAIN 10/48 | ES0000012B47 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0009469681 |
US TREASURY NOTES 12/25 9128285T | US9128285T35 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009460877 |
JAPAN (20 YEAR ISSUE) 12/35 | JP1201551FC0 | Japan | JPY | Bond | A1 | - | unknown | 0.0009450993 |
UNITED STATES TREASURY NOTE/BOND 6/23 | US912828S356 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009401893 |
ITALY | IT0005083057 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0009377728 |
ITALY (REPUBLIC OF) 12/26 EUR52854 | IT0005210650 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0009376863 |
ITALY 3/47 | IT0005162828 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0009370543 |
JAPAN-141(20 YEAR ISSUE) 12/32 | JP1201411CC4 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0009360286 |
ITALY 1/33 | IT0005240350 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0009355842 |
JAPAN (GOVERNMENT OF) 30YR #67 6/50 | JP1300671L78 | Japan | JPY | Bond | - | - | unknown | 0.0009351552 |
WI TREASURY SEC. 1.625 12/15/2022 | US912828YW42 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.000931693 |
US TREASURY NOTES 07/25 912828Y7 | US912828Y792 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009308193 |
BBG00Z8Y2X04 BUONI POLIENNALI DEL TES 8/31 | IT0005436693 | Italien | EUR | Bond | - | - | unknown | 0.0009302553 |
TSY 4 1/4% 2027 12/27 | GB00B16NNR78 | Großbritannien (UK) | GBP | Bond | Aa2 | FTSE All-Share Index | unknown | 0.0009255976 |
JAPAN (GOVERNMENT OF) 09/38 AV122750 | JP1201661JA3 | Japan | JPY | Bond | - | - | unknown | 0.0009239964 |
2.1% JAPAN-123 12/30 | JP1201231AC0 | Japan | JPY | Bond | A1 | - | unknown | 0.000921698 |
US TREASURY NOTES 10/25 9128285J | US9128285J52 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009214883 |
JAPAN (20 YEAR ISSUE) 3/34 | JP1201481E36 | Japan | JPY | Bond | A1 | - | unknown | 0.0009212875 |
US TREASURY NOTES 07/23 912828Y6 | US912828Y610 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009195057 |
2.5% KINGDOM OF NETHERLANDS 01/33 | NL0010071189 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0009177386 |
JAPAN-38 (30 YEAR ISSUE) 3/43 | JP1300381D38 | Japan | JPY | Bond | A1 | - | unknown | 0.0009171712 |
ITALY (REPUBLIC OF) 26 0.5 2/26 | IT0005419848 | Italien | EUR | Bond | - | - | unknown | 0.000916437 |
KINGDOM OF NETHERLANDS 7/26 | NL0011819040 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0009133718 |
ITALY (REPUBLIC OF) 09/24 | IT0005001547 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0009131479 |
0.625% UNITED STATES OF AMERICA 03/27 | US912828ZE35 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0009092026 |
ITALY 5/23 | IT0004898034 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0009056803 |
5.5% ITALY 11/22 | IT0004848831 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0009037947 |
JAPAN (20 YEAR ISSUE) 12/33 | JP1201471DC6 | Japan | JPY | Bond | A1 | - | unknown | 0.0009037719 |
BBG012YR15V0 JAPAN (GOVERNMENT OF) 26 0.005 9/26 | JP1051491MA0 | Japan | JPY | Bond | - | - | unknown | 0.0009022307 |
UNITED STATES TREASURY NOTE/BOND 11/24 | US9128283J70 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0009009577 |
JAPAN (GOVT OF) 20Y #151 12/34 JPY20466 | JP1201511EC7 | Japan | JPY | Bond | A1 | - | unknown | 0.0009000197 |
US TREASURY NOTES 10/23 9128285K | US9128285K26 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008991377 |
FRANCE (REPUBLIC OF) | FR0013515806 | Frankreich | EUR | Bond | - | - | unknown | 0.0008943499 |
GERMANY (FEDERAL REPUBLIC) 04/23 AQ895462 | DE0001141778 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0008941375 |
0.8515% ITALY 01/27 | IT0005390874 | Italien | EUR | Bond | - | - | unknown | 0.0008927405 |
0.5 JP 59 12 TR BD | JP1400121K57 | Japan | JPY | Bond | - | - | unknown | 0.0008918906 |
JAPAN GOVERNMENT TWENTY YEAR BOND 6/34 | JP1201491E67 | Japan | JPY | Bond | A1 | - | unknown | 0.0008914001 |
TSY 4 1/2% 2034 9/34 | GB00B52WS153 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.0008912798 |
6.5% REPUBLIC OF GERMANY 7/27 | DE0001135044 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.000890635 |
KINGDOM OF SPAIN 7/23 | ES0000012B62 | Spanien | EUR | Bond | - | - | unknown | 0.0008900886 |
US TREASURY NOTES 04/23 912828R2 | US912828R283 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0008898711 |
CANW 0 1/2 09/01/25 | CA135087K940 | Kanada | CAD | Bond | - | - | unknown | 0.000885369 |
ITALY 3/35 | IT0005358806 | Italien | EUR | Bond | - | - | unknown | 0.0008840277 |
BBG012R8J6T2 JAPAN (GOVERNMENT OF) 23 0.005 10/23 | JP1024291MA8 | Japan | JPY | Bond | - | - | unknown | 0.0008816105 |
UNITED STATES TREASURY NOTE/BOND 7/24 | US9128282N91 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0008788415 |
ITALY 9/49 | IT0005363111 | Italien | EUR | Bond | - | - | unknown | 0.0008787167 |
JAPAN GOVERNMENT TWENTY YEAR BOND 3/35 | JP1201521F37 | Japan | JPY | Bond | A1 | - | unknown | 0.0008781649 |
JAPAN (GOVERNMENT OF) 06/24 AZ5753217 | JP1051401K75 | Japan | JPY | Bond | - | - | unknown | 0.0008749868 |
US TREASURY NOTES 09/25 9128285C | US9128285C00 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008740747 |
US TREASURY NOTES 01/23 912828P3 | US912828P386 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.000868561 |
JAPAN-117 (20 YR ISSUE) 03/30 | JP1201171A43 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0008684521 |
BBG00YV3DBZ7 ITALY 0.2515 MAR 2028 3/28 | IT0005433690 | Italien | EUR | Bond | - | - | unknown | 0.0008674486 |
SPAIN, KINGDOM OF (GOVERNMENT) 0.250% 2024-07-30 | ES0000012E85 | Spanien | EUR | Bond | - | - | unknown | 0.0008665996 |
BUONI POLIENNALI DEL TES 7/25 | IT0005408502 | Italien | EUR | Bond | - | - | unknown | 0.0008643577 |
ITALY (REPUBLIC OF) 06/25 EUR36955 | IT0005090318 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0008630536 |
BBG00ZDRLPT8 ITALY (REPUBLIC OF) 4/26 | IT0005437147 | Italien | EUR | Bond | - | - | unknown | 0.0008607212 |
JAPAN (GOVT OF) 40Y #10 03/57 AN751153 | JP1400101H56 | Japan | JPY | Bond | A1 | - | unknown | 0.000859962 |
US TREASURY NOTES 06/23 9128284U | US9128284U17 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008589069 |
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND (GOVERNMENT) 1.625% 2054-10-22 | GB00BJLR0J16 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0008584855 |
ITALY 11/24 | IT0005282527 | Italien | EUR | Bond | - | - | unknown | 0.0008577202 |
GERMANY (FEDERAL REPUBLIC) 25 0.0 4/25 | DE0001141810 | Deutschland | EUR | Bond | - | - | unknown | 0.0008576299 |
1% SPAIN 10/50 | ES0000012G00 | Spanien | EUR | Bond | - | - | unknown | 0.0008530054 |
BBG00ZF1T9P5 UNITED KINGDOM 26 0.375 10/26 | GB00BNNGP668 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0008522518 |
BBG00YQ7J0N5 BONOS Y OBLIG DEL ESTADO SR UNSECURED 05/24 0.00000 5/24 | ES0000012H33 | Spanien | EUR | Bond | - | - | unknown | 0.000851855 |
ITALY 10/23 | IT0005215246 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0008504706 |
SPAIN (KINGDOM OF) 1/25 | ES0000012F92 | Spanien | EUR | Bond | - | - | unknown | 0.000850398 |
JAPAN -26(30 YEAR ISSUE) 03/37 | JP1300261748 | Japan | JPY | Bond | A1 | - | unknown | 0.0008502014 |
US TREASURY NOTES 27 1.625 1/27 | US912828Z781 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008476636 |
REPUBLIC OF FRANCE 5/66 | FR0013154028 | Frankreich | EUR | Bond | Aa2 | - | unknown | 0.0008475788 |
6.25% REPUBLIC OF GERMANY 01/30 | DE0001135143 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0008473405 |
BBG00ZDZV8X2 BUNDESREPUBLIK DEUTSCHLAND BUN 5/36 | DE0001102549 | Deutschland | EUR | Bond | - | - | unknown | 0.0008454219 |
US TREASURY NOTES 10/22 912828M4 | US912828M490 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0008450607 |
JAPAN-4(40 YEAR ISSUE) 03/51 | JP1400041B55 | Japan | JPY | Bond | A1 | - | unknown | 0.000842318 |
BUONI POLIENNALI DEL TES | IT0005398406 | Italien | EUR | Bond | - | - | unknown | 0.0008406802 |
CANADA (GOVERNMENT OF) 0.5% DEC 1 2030 12/30 | CA135087L443 | Kanada | CAD | Bond | - | - | unknown | 0.0008346487 |
UNITED KINGDOM 7/23 | GB00B7Z53659 | Großbritannien (UK) | GBP | Bond | Aa1 | FTSE All-Share Index | unknown | 0.000834237 |
JAPAN-99 (20 YEAR ISSUE) 12/27 | JP12009917C3 | Japan | JPY | Bond | A1 | - | unknown | 0.0008313348 |
ITALY (REPUBLIC OF) 03/23 AR461831 | IT0005325946 | Italien | EUR | Bond | Baa3 | - | unknown | 0.0008277873 |
JAPAN-128(20 YEAR ISSUE) 06/31 | JP1201281B64 | Japan | JPY | Bond | A1 | - | unknown | 0.0008261959 |
2.0% JAPAN-5 (40 YEAR ISSUE) 03/52 | JP1400051C51 | Japan | JPY | Bond | A1 | - | unknown | 0.0008231541 |
UNITED STATES TREASURY NOTE/BOND 4/26 | US9128286S43 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008215142 |
US TREASURY NOTES 08/23 9128284X | US9128284X55 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008208584 |
NETHERLANDS GOVERNMENT 7/23 | NL0010418810 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0008204177 |
KINGDOM OF BELGIUM 6/29 | BE0000347568 | Belgien | EUR | Bond | - | - | unknown | 0.0008197021 |
BBG011BZ3QC2 ITALY BONDS 0.95% 1DEC2031 12/31 | IT0005449969 | Italien | EUR | Bond | - | - | unknown | 0.0008178826 |
BBG012TLH2V9 JAPAN (10 YEAR ISSUE) BONDS 09/31 0.1 9/31 | JP1103641MA8 | Japan | JPY | Bond | - | - | unknown | 0.0008164787 |
ITALY 9/38 | IT0005321325 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0008159089 |
ITALY (REPUBLIC OF) 07/24 AX870340 | IT0005367492 | Italien | EUR | Bond | - | - | unknown | 0.0008158653 |
AUSTRALIA (GOVERNMENT OF) 05/30 AS904985 | AU0000013740 | Australien | AUD | Bond | - | - | unknown | 0.0008158521 |
JAPAN 30 YEAR BENCHMARK 0.800% 2048-03-20 | JP1300581J30 | Japan | JPY | Bond | - | - | unknown | 0.0008155941 |
ITALY (REPUBLIC OF) 10/23 AU270059 | IT0005344335 | Italien | EUR | Bond | - | - | unknown | 0.0008129278 |
JAPAN (GOVT OF) 40Y #1 03/58 AS843222 | JP1400111J52 | Japan | JPY | Bond | - | - | unknown | 0.0008111462 |
REPUBLIC OF GERMANY 10/23 | DE0001141786 | Deutschland | EUR | Bond | Aaa | - | unknown | 0.0008088826 |
5.5% KINGDOM OF NIEDERLANDE 01/28 | NL0000102317 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0008063717 |
US TREASURY N/B 1.625 10/31/2026 10/26 912828YQ7 | US912828YQ73 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0008027512 |
US TREASURY NOTES 10/23 912828T9 | US912828T917 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0008005889 |
REPUBLIC OF ITALY 9/36 | IT0005177909 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0007998385 |
BBG0105TKLT9 BUNDESREPUBLIK DEUTSCHLAND BUNDESANLEIHE 11/28 | DE0001102556 | Deutschland | EUR | Bond | - | - | unknown | 0.0007989669 |
BBG00ZKX9TD0 ITALY 15 APR 2024 4/24 | IT0005439275 | Italien | EUR | Bond | - | - | unknown | 0.0007987976 |
UNITED KINGDOM 04/24 AT647761 | GB00BFWFPL34 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0007987277 |
US TREASURY N/B 2/40 | US912810QE10 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0007970804 |
ITALY 5/24 | IT0005246340 | Italien | EUR | Bond | Baa2 | - | unknown | 0.0007965759 |
ITALY 11/25 | IT0005345183 | Italien | EUR | Bond | - | - | unknown | 0.0007953611 |
BBG0118S7RQ1 JAPAN (GOVERNMENT OF) 23 0.005 6/23 | JP1024251M63 | Japan | JPY | Bond | - | - | unknown | 0.0007933879 |
KINGDOM OF BELGIUM 6/26 | BE0000337460 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0007933675 |
JAPAN GOVERNMENT FORTY YEAR BOND 3/56 | JP1400091G59 | Japan | JPY | Bond | A1 | - | unknown | 0.0007923287 |
JAPAN (GOVT OF) 20Y #159 12/36 JPY25137 | JP1201591GC4 | Japan | JPY | Bond | A1 | - | unknown | 0.0007918646 |
0.95% ITALIA 08/30 | IT0005403396 | Italien | EUR | Bond | - | - | unknown | 0.0007909407 |
KINGDOM OF SPAIN 10/22 | ES0000012A97 | Spanien | EUR | Bond | - | - | unknown | 0.0007885377 |
JAPAN (10 YR ISSUE) 9/23 | JP1103301D90 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0007867256 |
KINGDOM OF BELGIUM 6/31 | BE0000335449 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0007842644 |
ITALY 3/40 | IT0005377152 | Italien | EUR | Bond | - | - | unknown | 0.0007796208 |
BBG012C8H6X5 JAPAN (GOVERNMENT OF) 23 0.005 9/23 | JP1024281M91 | Japan | JPY | Bond | - | - | unknown | 0.0007789609 |
UNITED STATES 02/41 | US912810QN19 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0007786491 |
BONOS Y OBLIG DEL ESTADO SR UNSECURED 144A REGS 10/40 1 10/40 | ES0000012G42 | Spanien | EUR | Bond | - | - | unknown | 0.0007773578 |
AUSTRALIA (GOVERNMENT OF) 31 1.0 11/31 | AU0000101792 | Australien | AUD | Bond | - | - | unknown | 0.0007736094 |
4.75% REPUBLIC OF GERMANY 07/28 | DE0001135085 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0007733411 |
TREASURY NOTE 9/26 | US912828YG91 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0007704288 |
OBL 0 10/09/26 | DE0001141844 | Deutschland | EUR | Bond | - | - | unknown | 0.0007698826 |
4.8% KINGDOM OF SPAIN 01/24 | ES00000121G2 | Spanien | EUR | Bond | Baa2 | IBEX 35 Index | unknown | 0.0007686249 |
UNITED STATES TREASURY NOTE/BOND 11/46 | US912810RU43 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0007686209 |
JAPAN 20 YEAR BENCHMARK 0.500% 2038-03-20 | JP1201641J38 | Japan | JPY | Bond | - | - | unknown | 0.0007670826 |
ITALY 7/26 | IT0005370306 | Italien | EUR | Bond | - | - | unknown | 0.0007660366 |
JAPAN GOVERNMENT TWENTY YEAR BOND 9/35 | JP1201541F90 | Japan | JPY | Bond | A1 | - | unknown | 0.0007645849 |
UNITED KINGDOM 26 0.125 1/26 | GB00BL68HJ26 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0007640249 |
UNITED STATES TREASURY NOTE/BOND 2/23 | US912828P790 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0007637619 |
KINGDOM OF BELGIUM 6/45 | BE0000331406 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0007623444 |
CANADA (GOVERNMENT) 2.000% 2023-09-01 | CA135087H987 | Kanada | CAD | Bond | - | - | unknown | 0.0007612849 |
BBG010HPVK32 JAPAN (GOVERNMENT OF) 23 0.005 5/23 | JP1024241M58 | Japan | JPY | Bond | - | - | unknown | 0.000759795 |
6% UNITED KINGDOM 12/28 | GB0002404191 | Großbritannien (UK) | GBP | Bond | Aa1 | - | unknown | 0.0007577413 |
UNITED STATES TREASURY NOTE/BOND 11/39 | US912810QD37 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0007571669 |
US TREASURY NOTES 06/25 912828XZ | US912828XZ81 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0007567133 |
ITALY 5/25 | IT0005327306 | Italien | EUR | Bond | - | - | unknown | 0.0007535092 |
JAPAN (GOVT OF) 20Y #162 09/37 AP155275 | JP1201621H91 | Japan | JPY | Bond | - | - | unknown | 0.0007507052 |
1.625% UNITED STATES OF AMERICA 11/26 | US912828YU85 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0007496171 |
JAPAN, JGB 0.4 20JUN2049 06/49 AZ5272317 | JP1300631K78 | Japan | JPY | Bond | A1 | - | unknown | 0.0007464349 |
AUSTRALIA, COMMONWEALTH OF (GOVERNMENT) 1.500% 2031-06-21 | AU0000047003 | Australien | AUD | Bond | - | - | unknown | 0.000746353 |
CANADA (GOVERNMENT OF) 22 0.25 11/22 | CA135087L369 | Kanada | CAD | Bond | - | - | unknown | 0.0007459101 |
KINGDOM OF BELGIUM 6/28 | BE0000345547 | Belgien | EUR | Bond | - | - | unknown | 0.0007435943 |
NETHERLANDS (KINGDOM OF) 1/27 | NL0015031501 | Niederlande | EUR | Bond | - | - | unknown | 0.0007407214 |
JAPAN 30 YEAR BENCHMARK 0.500% 2049-03-20 | JP1300621K47 | Japan | JPY | Bond | - | - | unknown | 0.0007403626 |
JAPAN GOVERNMENT FIVE YEAR BON 9/25 | JP1051451LA6 | Japan | JPY | Bond | - | - | unknown | 0.0007398798 |
BBG011K30VT7 SPAIN (KINGDOM OF) 31 0.5 10/31 | ES0000012I32 | Spanien | EUR | Bond | - | - | unknown | 0.0007395731 |
AUSTRALIAN GOVERNMENT 12/30 | AU0000087454 | Australien | AUD | Bond | - | - | unknown | 0.0007365698 |
UNITED KINGDOM OF GREAT BRITAIN AN 0.375% OCT 22 2030 10/30 | GB00BL68HH02 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0007364377 |
JAPAN-326(10 YR ISSUE) 12/22 | JP1103261CC2 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0007345037 |
REPUBLIC OF AUSTRIA 10/26 | AT0000A1K9C8 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0007340309 |
UNITED KINGDOM 9/25 | GB00BTHH2R79 | Großbritannien (UK) | GBP | Bond | Aa1 | - | unknown | 0.000733605 |
KINGDOM OF NETHERLANDS 7/27 | NL0012171458 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0007323963 |
TWEB WHEN ISSUED UNITED STATES 7 YEAR 2.750% 2025-03-31 | US9128284F40 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0007316329 |
ITALY 15 JAN 2024 1/24 | IT0005424251 | Italien | EUR | Bond | - | - | unknown | 0.0007315615 |
JAPAN (GOVERNMENT OF) 12/48 AW634174 | JP1300611K15 | Japan | JPY | Bond | - | - | unknown | 0.0007313288 |
0.75% NETHERLANDS GOVERNMENT 07/28 | NL0012818504 | Niederlande | EUR | Bond | - | - | unknown | 0.0007301499 |
REPUBLIC OF ITALY 11/26 | IT0001086567 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0007300526 |
JAPAN (30 YEAR ISSUE) 09/49 ZQ0615927 | JP1300641KA3 | Japan | JPY | Bond | - | - | unknown | 0.0007293174 |
ITALY 0.315 AUG 2023 8/23 | IT0005413684 | Italien | EUR | Bond | - | - | unknown | 0.0007290988 |
BBG010Z1C6V6 BUNDESSCHATZANWEISUNGEN BONDS REGS 06/23 0.00000 6/23 | DE0001104842 | Deutschland | EUR | Bond | - | - | unknown | 0.0007285231 |
KINGDOM OF NETHERLANDS 1/24 | NL0012650469 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0007252474 |
UNITED STATES TREASURY NOTE/BOND 5/45 | US912810RM27 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0007227608 |
JAPAN-130(20 YEAR ISSUE) 09/31 | JP1201301B94 | Japan | JPY | Bond | A1 | - | unknown | 0.0007221661 |
BBG00ZGKJ7H6 JAPAN (GOVERNMENT OF) 23 0.1 3/23 | JP1024221M37 | Japan | JPY | Bond | - | - | unknown | 0.0007216171 |
KINGDOM OF THE NETHERLANDS 7/24 | NL0010733424 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0007193214 |
JAPAN (30 YEAR ISSUE) 6/43 | JP1300391D69 | Japan | JPY | Bond | A1 | - | unknown | 0.0007187351 |
JAPAN (GOVT OF) 20Y #163 12/37 AQ417830 | JP1201631HC6 | Japan | JPY | Bond | A1 | - | unknown | 0.0007180427 |
BELGIUM KINGDOM 6/24 | BE0000332412 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.000717281 |
KINGDOM OF BELGIUM 6/27 | BE0000341504 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0007165084 |
JAPAN (GOVT OF) 10Y #347 06/27 AN821370 | JP1103471H66 | Japan | JPY | Bond | - | - | unknown | 0.0007146908 |
UNITED KINGDOM 10/71 AS462336 | GB00BFMCN652 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0007129697 |
ITALY BUONI POLIENNALI DEL TESORO 9/51 | IT0005425233 | Italien | EUR | Bond | - | - | unknown | 0.0007122313 |
UNITED STATES 05/41 | US912810QQ40 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0007106881 |
JAPAN (10 YEAR ISSUE) 09/29 ZR8859251 | JP1103561KA2 | Japan | JPY | Bond | - | - | unknown | 0.0007092128 |
4.25% USA BOND 11/40 | US912810QL52 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0007080564 |
UNITED KINGDOM 07/27 AM781675 | GB00BDRHNP05 | Großbritannien (UK) | GBP | Bond | Aa1 | - | unknown | 0.0007054733 |
BBG00Z164DZ6 GERMANY (FEDERAL REPUBLIC OF) 3/23 | DE0001104834 | Deutschland | EUR | Bond | - | - | unknown | 0.0007047735 |
BBG0104M5X34 FRANCE (REPUBLIC OF) 2/27 | FR0014003513 | Frankreich | EUR | Bond | - | - | unknown | 0.0007047218 |
UNITED KINGDOM 7/26 | GB00BYZW3G56 | Großbritannien (UK) | GBP | Bond | Aa1 | - | unknown | 0.0007045728 |
JAPAN (GOVERNMENT OF) 06/48 AT476518 | JP1300591J79 | Japan | JPY | Bond | - | - | unknown | 0.0007040191 |
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND (GOVERNMENT) 0.875% 2029-10-22 | GB00BJMHB534 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0007034735 |
JAPAN (GOVERNMENT OF) 49 0.4 12/49 | JP1300651L15 | Japan | JPY | Bond | A1 | - | unknown | 0.0006985553 |
JAPAN GOVERNMENT THIRTY YEAR BOND 3/45 | JP1300461F39 | Japan | JPY | Bond | A1 | - | unknown | 0.0006953104 |
AUSTRALIAN GOVERNMENT 11/24 | AU0000083768 | Australien | AUD | Bond | - | - | unknown | 0.0006904569 |
BBG00ZS31FP3 ITALY BUONI POLIENNALI DEL TESORO 11/22 | IT0005440679 | Italien | EUR | Bond | - | - | unknown | 0.0006875729 |
3.875% US TREASURY NOTE/BOND 08/40 | US912810QK79 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006858368 |
ITALY 3/23 | IT0005172322 | Italien | EUR | Bond | Baa2 | - | unknown | 0.000685425 |
ITALY (REPUBLIC OF) 3/41 | IT0005421703 | Italien | EUR | Bond | - | - | unknown | 0.0006842518 |
JAPAN (30 YEAR ISSUE) 3/50 | JP1300661L47 | Japan | JPY | Bond | - | - | unknown | 0.0006796623 |
FRANCE (REPUBLIC OF) 23 0.0 2/23 | FR0013479102 | Frankreich | EUR | Bond | - | - | unknown | 0.0006773359 |
JAPAN (10 YR ISSUE) 3/24 | JP1103331E36 | Japan | JPY | Bond | A1 | - | unknown | 0.0006768661 |
ITALY 0.0515 JAN 2023 1/23 | IT0005384497 | Italien | EUR | Bond | - | - | unknown | 0.0006758906 |
BBG00ZMXWB69 SPAIN (KINGDOM OF) 0% JAN 31 2028 1/28 | ES0000012I08 | Spanien | EUR | Bond | - | - | unknown | 0.0006755164 |
JAPAN GOVERNMENT THIRTY YEAR BOND 3/44 | JP1300421E39 | Japan | JPY | Bond | A1 | - | unknown | 0.0006752906 |
BBG010Z7XMN4 ITALY 0.515 JUL 2028 7/28 | IT0005445306 | Italien | EUR | Bond | - | - | unknown | 0.000674319 |
1.80% JAPAN-134 (20 YR ISSUE) 3/32 | JP1201341C38 | Japan | JPY | Bond | A1 | - | unknown | 0.0006742666 |
3.12% US TREASURY N/B 02/42 | US912810QU51 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006718022 |
1.80% JAPAN-133(20 YEAR ISSUE) 12/31 | JP1201331C14 | Japan | JPY | Bond | A1 | - | unknown | 0.0006713868 |
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND (GOVERNMENT) 1.625% 2028-10-22 | GB00BFX0ZL78 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0006705942 |
JAPAN-143 (20 YR ISSUE) 3/33 | JP1201431D38 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0006682558 |
AUSTRALIA (GOVERNMENT OF) 11/22 AP364296 | AU000XCLWAW9 | Australien | AUD | Bond | - | - | unknown | 0.000667684 |
JAPAN-92 (20 YEAR ISSUE) 12/26 | JP12009216C0 | Japan | JPY | Bond | A1 | - | unknown | 0.0006662239 |
JAPAN -27(30 YEAR ISSUE) 09/37 | JP13002717A6 | Japan | JPY | Bond | A1 | - | unknown | 0.0006661585 |
4.5% KINGDOM OF BELGIUM 03/26 | BE0000324336 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0006633896 |
ITALY (REPUBLIC OF) 1.45% MAR 1 2036 3/36 | IT0005402117 | Italien | EUR | Bond | - | - | unknown | 0.0006608704 |
UNITED STATES TREASURY NOTE/BOND 5/40 | US912810QH41 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0006572892 |
BBG0101PS2C3 CANADA (GOVERNMENT OF) 26 1.0 9/26 | CA135087L930 | Kanada | CAD | Bond | - | - | unknown | 0.0006559225 |
6.25% BUNDESANLEIHE 01/24 | DE0001134922 | Deutschland | EUR | Bond | Aaa | CDAX Index | unknown | 0.0006535979 |
BELGIUM (KINGDOM OF) 06/50 AW946375 | BE0000348574 | Belgien | EUR | Bond | - | - | unknown | 0.000651859 |
UNITED STATES TREASURY NOTE/BOND 08/41 | US912810QS06 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006500871 |
JAPAN GOVERNMENT TEN YEAR BOND 6/25 | JP1103391F65 | Japan | JPY | Bond | A1 | - | unknown | 0.0006494851 |
JAPAN-114(20 YEAR ISSUE) 12/29 | JP12011419C6 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0006483726 |
AUSTRALIAN GOVERNMENT 4/26 | AU000XCLWAI8 | Australien | AUD | Bond | Aaa | - | unknown | 0.0006470423 |
UNITED STATES TREASURY NOTE/BOND 5/39 | US912810QB70 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0006450522 |
UNITED KINGDOM 01/49 AU379648 | GB00BFWFPP71 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0006446444 |
AUSTRALIAN GOVERNMENT 4/33 | AU000XCLWAG2 | Australien | AUD | Bond | Aaa | - | unknown | 0.0006441255 |
2.75% US TREASURY NOTE/BOND 08/42 | US912810QX90 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006423859 |
BBG00YVDXF39 BELGIUM KINGDOM UNSECURED REGS 10/31 0.00000 10/31 | BE0000352618 | Belgien | EUR | Bond | - | - | unknown | 0.0006418902 |
BBG01177G1G6 JAPAN (GOVT OF) 40Y #1 61 0.7 3/61 | JP1400141M51 | Japan | JPY | Bond | - | - | unknown | 0.0006414551 |
4.75% AUSTRALIAN GOVERNMENT 04/27 | AU3TB0000135 | Australien | AUD | Bond | Aaa | - | unknown | 0.0006411556 |
JAPAN GOVERNMENT TWENTY YEAR BOND 3/37 | JP1201601H38 | Japan | JPY | Bond | A1 | - | unknown | 0.0006398336 |
JAPAN-112 (20 YR ISSUE) 06/29 | JP1201121975 | Japan | JPY | Bond | A1 | - | unknown | 0.0006391588 |
UKT 0 1/8 01/31/28 1/28 | GB00BMBL1G81 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0006387582 |
5.5% AUSTRALIA 04/23 | AU3TB0000101 | Australien | AUD | Bond | Aaa | S&P/ASX 200 Index | unknown | 0.0006382237 |
JAPAN (GOVT OF) 30Y #57 12/47 AQ340832 | JP1300571HC4 | Japan | JPY | Bond | - | - | unknown | 0.0006377701 |
JAPAN GOVERNMENT TEN YEAR BOND 9/24 | JP1103351E98 | Japan | JPY | Bond | A1 | - | unknown | 0.0006362535 |
JAPAN GOVERNMENT TWENTY YEAR BOND 6/35 | JP1201531F68 | Japan | JPY | Bond | A1 | - | unknown | 0.0006355604 |
JAPAN (GOVERNMENT OF) 24 0.1 12/24 | JP1051421L13 | Japan | JPY | Bond | - | - | unknown | 0.0006348456 |
JAPAN GOVERNMENT TWENTY YEAR BOND 6/36 | JP1201571G68 | Japan | JPY | Bond | A1 | - | unknown | 0.0006346577 |
JAPAN (GOVERNMENT OF) 5YR #143 0.1% MAR 20 2025 3/25 | JP1051431L45 | Japan | JPY | Bond | - | - | unknown | 0.0006324079 |
JAPAN-113 (20 YR ISSUE) 09/29 | JP1201131990 | Japan | JPY | Bond | A1 | - | unknown | 0.0006321513 |
0% NETHERLANDS 07/30 | NL0014555419 | Niederlande | EUR | Bond | - | - | unknown | 0.0006317698 |
JAPAN GOVERNMENT THIRTY YEAR BOND 12/43 | JP1300411DC2 | Japan | JPY | Bond | A1 | - | unknown | 0.0006314132 |
JAPAN-100(20 YEAR ISSUE) 03/28 | JP1201001839 | Japan | JPY | Bond | A1 | - | unknown | 0.0006308448 |
JAPAN 5 YEAR BENCHMARK 0.100% 2024-03-20 | JP1051391K44 | Japan | JPY | Bond | - | - | unknown | 0.0006306621 |
JAPAN (30 YEAR ISSUE) 9/43 | JP1300401D91 | Japan | JPY | Bond | A1 | - | unknown | 0.0006256587 |
0.005 JP 23 427 | JP1024271M85 | Japan | JPY | Bond | - | - | unknown | 0.000624837 |
BBG00YRS0021 BUONI POLIENNALI DEL TES SR UNSECURED 144A REGS 03/37 0 3/37 | IT0005433195 | Italien | EUR | Bond | - | - | unknown | 0.0006228208 |
UK TSY 2 3/4% 2024 9/24 | GB00BHBFH458 | Großbritannien (UK) | GBP | Bond | Aa1 | - | unknown | 0.0006207022 |
0.25% NETHERLANDS GOVERNMENT 07/29 | NL0013332430 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0006200615 |
JAPAN GOVERNMENT THIRTY YEAR BOND 9/44 | JP1300441E92 | Japan | JPY | Bond | A1 | - | unknown | 0.0006193963 |
1.7% JAPAN-132(20 YEAR ISSUE) 12/31 | JP1201321BC7 | Japan | JPY | Bond | A1 | - | unknown | 0.0006190791 |
JAPAN 5 YEAR BENCHMARK 0.100% 2023-03-20 | JP1051351J37 | Japan | JPY | Bond | - | - | unknown | 0.0006186376 |
BBG011MHL3S4 JAPAN (GOVERNMENT OF) 23 0.005 7/23 | JP1024261M79 | Japan | JPY | Bond | - | - | unknown | 0.000618501 |
UKT 0.62 6/7/2025 06/25 AZ2780841 | GB00BK5CVX03 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0006174855 |
3% US TREASURY NOTE 05/42 | US912810QW18 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006168965 |
JAPAN (GOVERNMENT OF) 09/24 ZQ1727499 | JP1051411KA2 | Japan | JPY | Bond | - | - | unknown | 0.0006163459 |
US TREASURY NOTES 10/24 9128283D | US9128283D01 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0006157736 |
JAPAN-2 (40 YEAR ISSUE) 03/49 | JP1400021950 | Japan | JPY | Bond | A1 | - | unknown | 0.0006147253 |
CANADA 4/24 | CA135087L690 | Kanada | CAD | Bond | - | - | unknown | 0.0006146315 |
DENMARK (KINGDOM OF) 11/29 AW611618 | DK0009923807 | Dänemark | DKK | Bond | - | - | unknown | 0.0006142887 |
US TREASURY N/B 11/41 | US912810QT88 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0006131881 |
0.6% ITALY 06/23 | IT0005405318 | Italien | EUR | Bond | - | - | unknown | 0.0006131017 |
AUSTRALIA (GOVERNMENT OF) 11/29 AQ762933 | AU000XCLWAX7 | Australien | AUD | Bond | - | - | unknown | 0.0006102817 |
UNITED KINGDOM OF GREAT BRITAIN AN 0.5% OCT 22 2061 10/61 | GB00BMBL1D50 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.00060896 |
KINGDOM OF BELGIUM 10/24 | BE0000342510 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0006087337 |
US TREASURY N/B 8/39 | US912810QC53 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0006066293 |
JAPAN (GOVT OF) 20Y #161 06/37 AN958432 | JP1201611H69 | Japan | JPY | Bond | - | - | unknown | 0.0006059784 |
2.2% JAPAN 3/50 | JP1400031A58 | Japan | JPY | Bond | A1 | - | unknown | 0.000603894 |
BBG00ZHXZ075 BUONI POLIENNALI DEL TES 4/45 | IT0005438004 | Italien | EUR | Bond | - | - | unknown | 0.0006036926 |
JAPAN-110 (20 YR ISSUE) 03/29 | JP1201101944 | Japan | JPY | Bond | A1 | - | unknown | 0.0006029036 |
AUSTRALIAN GOVERNMENT 4/29 | AU3TB0000150 | Australien | AUD | Bond | Aaa | S&P/ASX 200 Index | unknown | 0.0006016043 |
JAPAN (GOVERNMENT OF) 09/48 AU951286 | JP1300601JA9 | Japan | JPY | Bond | - | - | unknown | 0.0005971289 |
JAPAN GOVERNMENT TWENTY YEAR BOND 9/36 | JP1201581G90 | Japan | JPY | Bond | A1 | - | unknown | 0.0005969928 |
BBG00Z4JVBX1 CANADIAN GOVERNMENT 5/23 | CA135087L856 | Kanada | CAD | Bond | - | - | unknown | 0.000596675 |
5,4% REPUBLIC OF IRELAND 03/25 | IE00B4TV0D44 | Irland | EUR | Bond | A3 | ISEQ Irish Overall Index | unknown | 0.0005955121 |
1.9% JAPAN121(20 YEAR ISSUE) 9/30 | JP1201211A94 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0005936132 |
6.25% REPUBLIC OF AUSTRIA 07/27 | AT0000383864 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0005931953 |
CANADIAN GOVERNMENT 3/26 | CA135087L518 | Kanada | CAD | Bond | - | - | unknown | 0.0005912338 |
CANADIAN GOVERNMENT BOND | CA135087L773 | Kanada | CAD | Bond | - | - | unknown | 0.0005911 |
BBG0122Y7Z20 GERMANY (FEDERAL REPUBLIC OF) 0% SEP 15 2023 9/23 | DE0001104859 | Deutschland | EUR | Bond | - | - | unknown | 0.000590239 |
BELGIUM (KINGDOM OF) 30 0.1 6/30 | BE0000349580 | Belgien | EUR | Bond | - | - | unknown | 0.0005877396 |
JAPAN (GOVERNMENT OF) 12/23 AW744955 | JP1051381K12 | Japan | JPY | Bond | - | - | unknown | 0.0005862443 |
JAPAN GOVERNMENT TEN YEAR BOND 3/27 | JP1103461H35 | Japan | JPY | Bond | A1 | - | unknown | 0.0005861624 |
UNITED STATES TREASURY NOTE/BOND 11/45 | US912810RP57 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0005861361 |
JAPAN GOVERNMENT THIRTY YEAR BOND 9/46 | JP1300521G93 | Japan | JPY | Bond | A1 | - | unknown | 0.000580846 |
AUSTRALIA (GOVERNMENT OF) 11/27 AUD19643 | AU000XCLWAQ1 | Australien | AUD | Bond | Aaa | - | unknown | 0.0005786643 |
JAPAN-144(20 YEAR ISSUE) 3/33 | JP1201441D44 | Japan | JPY | Bond | A1 | - | unknown | 0.0005761786 |
KINGDOM OF BELGIUM 6/47 | BE0000338476 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0005700246 |
REPUBLIC OF IRELAND 2/45 | IE00BV8C9186 | Irland | EUR | Bond | A3 | - | unknown | 0.0005695018 |
REPUBLIC OF IRELAND 5/26 | IE00BV8C9418 | Irland | EUR | Bond | A3 | - | unknown | 0.0005660418 |
AUSTRALIA (COMMONWEALTH OF) 9/26 | AU0000106411 | Australien | AUD | Bond | Aaa | - | unknown | 0.0005631985 |
JAPAN (GOVERNMENT OF) 06/28 AT427280 | JP1103511J74 | Japan | JPY | Bond | - | - | unknown | 0.0005624052 |
REPUBLIC OF AUSTRIA 10/25 | AT0000A1FAP5 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005618423 |
BBG012BLK2Y1 HM TREASURY UNITED KINGDOM DMO 7/33 | GB00BM8Z2S21 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0005616503 |
BELGIUM (KINGDOM OF) 04/33 AQ387666 | BE0000346552 | Belgien | EUR | Bond | - | - | unknown | 0.0005611084 |
JAPAN GOVERNMENT THIRTY YEAR BOND 6/44 | JP1300431E60 | Japan | JPY | Bond | A1 | - | unknown | 0.0005606917 |
JAPAN (GOVERNMENT OF) 06/29 AZ4598605 | JP1103551K72 | Japan | JPY | Bond | - | - | unknown | 0.00056056 |
JAPAN GOVERNMENT THIRTY YEAR BOND 3/46 | JP1300501G30 | Japan | JPY | Bond | A1 | - | unknown | 0.0005572577 |
REPUBLIC OF AUSTRIA 4/27 | AT0000A1VGK0 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005567036 |
REPUBLIC OF AUSTRIA 10/23 | AT0000A105W3 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0005561504 |
BELGIUM KINGDOM 6/34 | BE0000333428 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0005517037 |
BELGIUM KINGDOM 6/23 | BE0000328378 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0005513656 |
AUSTRALIAN GOVERNMENT 4/25 | AU3TB0000168 | Australien | AUD | Bond | Aaa | S&P/ASX 200 Index | unknown | 0.0005441258 |
JAPAN GOVERNMENT TEN YEAR BOND 9/26 | JP1103441G98 | Japan | JPY | Bond | A1 | - | unknown | 0.0005440295 |
NETHERLANDS, KINGDOM OF THE (GOVERNMENT) 0.500% 2040-01-15 | NL0013552060 | Niederlande | EUR | Bond | Aaa | - | unknown | 0.0005435379 |
AUSTRIA (REPUBLIC OF) 02/29 AW945949 | AT0000A269M8 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005420139 |
CANADA (GOVERNMENT OF) 03/23 135087H4 | CA135087H490 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0005417638 |
JAPAN -23(30 YEAR ISSUE) 06/36 | JP1300231675 | Japan | JPY | Bond | A1 | - | unknown | 0.0005415501 |
REPUBLIC OF AUSTRIA 5/34 | AT0000A10683 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005386708 |
JAPAN (GOVT OF) 30Y #55 06/47 AN861997 | JP1300551H61 | Japan | JPY | Bond | - | - | unknown | 0.0005353049 |
4% KINGDOM OF BELGIUM 03/32 | BE0000326356 | Belgien | EUR | Bond | Aa3 | BEL 20 Index | unknown | 0.0005351189 |
1.125 US TR NTS 27 | US912828ZB95 | Vereinigte Staaten von Amerika | USD | Bond | - | - | unknown | 0.0005338175 |
AUSTRALIA (GOVERNMENT OF) 32 1.25 5/32 | AU0000075681 | Australien | AUD | Bond | - | - | unknown | 0.000531652 |
3.15% REPUBLIC OF AUSTRIA 06/44 | AT0000A0VRQ6 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0005279286 |
JAPAN-124(20 YEAR ISSUE) 12/30 | JP1201241B22 | Japan | JPY | Bond | A1 | - | unknown | 0.0005214065 |
REPUBLIC OF AUSTRIA 2/28 | AT0000A1ZGE4 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005212778 |
AUSTRIA 7/24 | AT0000A28KX7 | Österreich | EUR | Bond | - | - | unknown | 0.0005210735 |
JAPAN GOVERNMENT TWENTY YEAR BOND 3/36 | JP1201561G37 | Japan | JPY | Bond | A1 | - | unknown | 0.0005208653 |
JAPAN (GOVERNMENT OF) 12/28 AW566680 | JP1103531K10 | Japan | JPY | Bond | - | - | unknown | 0.0005201267 |
JAPAN-6 (40 YEAR ISSUE) 3/53 | JP1400061D58 | Japan | JPY | Bond | A1 | - | unknown | 0.0005181634 |
2.5% JAPAN -22(30 YEAR ISSUE) 3/36 | JP1300221643 | Japan | JPY | Bond | A1 | - | unknown | 0.0005174524 |
4.85% REPUBLIC OF AUSTRIA 03/26 | AT0000A0DXC2 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0005145503 |
UNITED KINGDOM OF GREAT BRITAIN AN 0.625% OCT 22 2050 10/50 | GB00BMBL1F74 | Großbritannien (UK) | GBP | Bond | Aa3 | - | unknown | 0.0005144885 |
JAPAN 10 YEAR BENCHMARK 0.100% 2028-03-20 | JP1103501J35 | Japan | JPY | Bond | - | - | unknown | 0.00051311 |
JAPAN GOVERNMENT FORTY YEAR BOND 3/54 | JP1400071E55 | Japan | JPY | Bond | A1 | - | unknown | 0.000510876 |
JAPAN- 15(30 YEAR ISSUE) 06/34 | JP1300151485 | Japan | JPY | Bond | A1 | - | unknown | 0.0005107806 |
JAPAN-142(20 YEAR ISSUE) 12/32 | JP1201421D22 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.00051011 |
2.2% JAPAN 03/31 | JP1201251B37 | Japan | JPY | Bond | A1 | - | unknown | 0.0005093377 |
BBG00ZNGXKM6 FRANCE (GOVT OF) 6/44 | FR0014002JM6 | Frankreich | EUR | Bond | - | - | unknown | 0.0005086666 |
ITALY 3/67 | IT0005217390 | Italien | EUR | Bond | Baa2 | - | unknown | 0.000507513 |
BBG011XTWRY4 BUONI POLIENNALI DEL 1/24 | IT0005454050 | Italien | EUR | Bond | - | - | unknown | 0.0005069086 |
JAPAN- 18(30 YEAR ISSUE) 03/35 | JP1300181540 | Japan | JPY | Bond | A1 | - | unknown | 0.0005045791 |
AUSTRIA (REPUBLIC OF) 10/24 | AT0000A185T1 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0005040058 |
BKO 0 12/15/22 | DE0001104826 | Deutschland | EUR | Bond | - | - | unknown | 0.0005039393 |
JAPAN-94 (20 YEAR ISSUE) 3/27 | JP1200941746 | Japan | JPY | Bond | A1 | - | unknown | 0.0005039316 |
KINGDOM OF BELGIUM 6/38 | BE0000336454 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0005037749 |
JAPAN-90 (20 YEAR ISSUE) 9/26 | JP1200901690 | Japan | JPY | Bond | A1 | - | unknown | 0.0004961301 |
JAPAN (GOVT OF) 30Y #53 12/46 JPY25103 | JP1300531GC0 | Japan | JPY | Bond | A1 | - | unknown | 0.0004951711 |
REPUBLIC OF IRELAND 5/30 | IE00BJ38CR43 | Irland | EUR | Bond | A3 | - | unknown | 0.0004941523 |
BBG00YY9ZP86 UKT 0 7/8 01/31/46 1/46 | GB00BNNGP775 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0004939906 |
2.30% JAPAN(30 YEAR ISSUE) 12/36 | JP1300251715 | Japan | JPY | Bond | A1 | - | unknown | 0.0004906836 |
8.5% REPUBLIC OF FRANCE 04/23 | FR0000571085 | Frankreich | EUR | Bond | Aa2 | CAC All-Tradable Index | unknown | 0.0004903869 |
NETHER 0 07/15/31 | NL00150006U0 | Niederlande | EUR | Bond | - | - | unknown | 0.0004884638 |
DENMARK (KINGDOM OF) 11/27 DKK05280 | DK0009923567 | Dänemark | DKK | Bond | Aaa | - | unknown | 0.0004854791 |
US TREASURY N/B 2/36 | US912810FT08 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0004850055 |
0% AUSTRIA 02/30 | AT0000A2CQD2 | Österreich | EUR | Bond | - | - | unknown | 0.0004844154 |
AUSTRALIA (GOVERNMENT OF) 05/28 AUD19700 | AU000XCLWAR9 | Australien | AUD | Bond | Aaa | - | unknown | 0.0004796325 |
JAPAN-131(20 YEAR ISSUE) 09/31 | JP1201311BB0 | Japan | JPY | Bond | A1 | - | unknown | 0.0004763666 |
JAPAN GOVERNMENT TEN YEAR BOND 6/24 | JP1103341E67 | Japan | JPY | Bond | A1 | - | unknown | 0.0004754222 |
JAPAN-105(20 YEAR ISSUE) 09/28 | JP1201051891 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0004752265 |
JAPAN (GOVT OF) 5YR #134 12/22 AQ385855 | JP1051341HC3 | Japan | JPY | Bond | - | - | unknown | 0.0004730799 |
JAPAN GOVERNMENT THIRTY YEAR BOND 3/47 | JP1300541H31 | Japan | JPY | Bond | A1 | - | unknown | 0.0004728599 |
JAPAN (GOVERNMENT OF) 09/28 AU788839 | JP1103521JA8 | Japan | JPY | Bond | - | - | unknown | 0.0004693623 |
JAPAN-108 (20 YR ISSUE) 12/28 | JP1201081914 | Japan | JPY | Bond | A1 | - | unknown | 0.0004692557 |
JAPAN 10 YEAR BENCHMARK 0.100% 2029-03-20 | JP1103541K42 | Japan | JPY | Bond | - | - | unknown | 0.0004692431 |
1.9% JAPAN-127(20 YEAR ISSUE) 3/31 | JP1201271B58 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.000467932 |
BBG00Z1R3LK9 AUSTRIA (REPUBLIC OF) 2/31 | AT0000A2NW83 | Österreich | EUR | Bond | - | - | unknown | 0.0004677961 |
JAPAN GOVERNMENT FORTY YEAR BOND 3/55 | JP1400081F45 | Japan | JPY | Bond | A1 | - | unknown | 0.000466662 |
JAPAN-109 (20 YR ISSUE) 03/29 | JP1201091939 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0004659389 |
JAPAN (GOVT OF) 10Y #348 09/27 AP027592 | JP1103481H98 | Japan | JPY | Bond | - | - | unknown | 0.0004631013 |
REPUBLIC OF IRELAND 5/29 | IE00BH3SQ895 | Irland | EUR | Bond | - | - | unknown | 0.0004625568 |
AUSTRIA (REPUBLIC OF) 07/23 EUR53544 | AT0000A1PE50 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0004610895 |
BBG011QND663 ITALY 15 AUG 2024 8/24 | IT0005452989 | Italien | EUR | Bond | - | - | unknown | 0.000460857 |
0 ITALIA 26 BTP | IT0005454241 | Italien | EUR | Bond | - | - | unknown | 0.0004592985 |
BBG00YRRXTD2 IRISH TSY 0 2031 UNSECURED REGS 10/31 0.00000 10/31 | IE00BMQ5JL65 | Irland | EUR | Bond | - | - | unknown | 0.0004585759 |
BBG00ZZL46K7 AUSTRALIAN GOVERNMENT 11/32 | AU0000143901 | Australien | AUD | Bond | - | - | unknown | 0.00045693 |
2.10% REPUBLIC OF AUSTRIA 09/22 | AT0000A1XML2 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.000454122 |
REPUBLIC OF AUSTRIA 2/47 | AT0000A1K9F1 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0004495556 |
JAPAN-118(20 YEAR ISSUE) 6/30 | JP1201181A66 | Japan | JPY | Bond | A1 | - | unknown | 0.0004472989 |
AUSTRALIAN GOVERNMENT 11/25 | AU0000095457 | Australien | AUD | Bond | - | - | unknown | 0.0004453731 |
JAPAN-102(20 YEAR ISSUE) 06/28 | JP1201021860 | Japan | JPY | Bond | A1 | - | unknown | 0.0004445447 |
JAPAN- 73(20 YEAR ISSUE) 12/24 | JP12007314C5 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0004428786 |
3.4% REPUBLIC OF AUSTRIA 11/22 | AT0000A0U3T4 | Österreich | EUR | Bond | Aa1 | ATX Index | unknown | 0.0004414672 |
NETHERLANDS (KINGDOM OF) 0% JAN 15 2052 1/52 | NL0015614579 | Niederlande | EUR | Bond | - | - | unknown | 0.0004396931 |
US TREASURY N/B 2/31 | US912810FP85 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0004396616 |
BELGIUM (KINGDOM OF) 06/66 EUR52104 | BE0000340498 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0004370377 |
JAPAN-72 (20 YEAR ISSUE) 09/24 | JP1200721494 | Japan | JPY | Bond | A1 | - | unknown | 0.0004368661 |
REPUBLIC OF ITALY 11/23 | IT0000366655 | Italien | EUR | Bond | Baa2 | FTSE MIB Index | unknown | 0.0004365944 |
UNITED STATES TREASURY NOTE/BOND 11/27 | US912810FB99 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0004360589 |
AUSTRALIA (GOVERNMENT OF) 04/37 AUD14027 | AU3TB0000192 | Australien | AUD | Bond | Aaa | - | unknown | 0.0004340284 |
JAPAN (GOVT OF) 30Y #56 09/47 AP059339 | JP1300561H93 | Japan | JPY | Bond | - | - | unknown | 0.0004306872 |
US TREASURY N/B 5/30 | US912810FM54 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0004301695 |
3.5% CANADIAN GOVERNMENT 12/45 | CA135087ZS68 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0004282108 |
JAPAN (GOVT OF) 30Y #45 12/44 JPY20398 | JP1300451EC6 | Japan | JPY | Bond | A1 | - | unknown | 0.0004270634 |
2.4% JAPAN- 14(30 YEAR ISSUE) 3/34 | JP1300141445 | Japan | JPY | Bond | A1 | - | unknown | 0.0004270484 |
JAPAN GOVERNMENT THIRTY YEAR BOND 6/46 | JP1300511G61 | Japan | JPY | Bond | A1 | - | unknown | 0.0004261142 |
BBG0132X81R7 JAPAN (GOVERNMENT OF) 41 0.5 9/41 | JP1201781MA3 | Japan | JPY | Bond | - | - | unknown | 0.0004208532 |
ISRAEL FIXED BOND 03/47 AM664131 | IL0011401937 | Israel | ILS | Bond | - | - | unknown | 0.0004204429 |
JAPAN-126 (20 YR ISSUE) 03/31 | JP1201261B43 | Japan | JPY | Bond | A1 | - | unknown | 0.000419062 |
JAPAN-138 (20 YR ISSUE) 6/32 | JP1201381C70 | Japan | JPY | Bond | A1 | - | unknown | 0.0004169565 |
AUSTRALIA (GOVERNMENT OF) 03/47 AUD19810 | AU000XCLWAS7 | Australien | AUD | Bond | Aaa | - | unknown | 0.0004157408 |
BELGIUM (KINGDOM OF) 10/23 EUR52103 | BE0000339482 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0004157332 |
2.3% JAPAN-21 (30 YEAR ISSUE) 12/35 | JP1300211610 | Japan | JPY | Bond | A1 | - | unknown | 0.0004130144 |
BBG0104LS863 UNITED KINGDOM OF GREAT BRITAIN AN 1.25% JUL 31 2051 7/51 | GB00BLH38158 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0004124447 |
JAPAN-70 (20 YEAR ISSUE) 06/24 | JP1200701462 | Japan | JPY | Bond | A1 | - | unknown | 0.0004118832 |
1.6 % JAPAN 06/30 | JP1201201A88 | Japan | JPY | Bond | A1 | - | unknown | 0.0004118624 |
2.5% JAPAN- 16(30 YEAR ISSUE) 09/34 | JP13001614A6 | Japan | JPY | Bond | A1 | - | unknown | 0.0004105256 |
REPUBLIC OF IRELAND 5/28 | IE00BDHDPR44 | Irland | EUR | Bond | A2 | - | unknown | 0.0004102693 |
UNITED STATES TREASURY NOTE/BOND 11/28 | US912810FF04 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0004078638 |
JAPAN-115 (20 YR ISSUE) 12/29 | JP1201151A21 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0004059688 |
JAPAN-129(20 YEAR ISSUE) 06/31 | JP1201291B88 | Japan | JPY | Bond | A1 | - | unknown | 0.0004055032 |
JAPAN (30 YEAR ISSUE) 12/45 | JP1300491FC9 | Japan | JPY | Bond | A1 | - | unknown | 0.0004034358 |
1.6% JAPAN-139 (20 YR ISSUE) 06/32 | JP1201391C86 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.000403165 |
"JAPAN GOVERNMENT FORTY YEAR BOND" 3/48 | JP14000117B7 | Japan | JPY | Bond | A1 | - | unknown | 0.0004015306 |
KINGDOM OF BELGIUM 6/57 | BE0000343526 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.000400602 |
JAPAN- 84(20 YEAR ISSUE) 12/25 | JP1200841615 | Japan | JPY | Bond | A1 | - | unknown | 0.0004002944 |
JAPAN (GOVT OF) 10Y #349 12/27 AQ307103 | JP1103491HC4 | Japan | JPY | Bond | - | - | unknown | 0.000399884 |
JAPAN-136 (20 YR ISSUE) 3/32 | JP1201361C58 | Japan | JPY | Bond | A1 | - | unknown | 0.0003987883 |
US TREASURY N/B 2/39 | US912810QA97 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0003981115 |
5.75% CANADIAN GOVERNMENT 06/33 | CA135087XG49 | Kanada | CAD | Bond | Aaa | S&P/TSX COMPOSITE Index | unknown | 0.0003974934 |
CANADA (GOVERNMENT OF) 06/25 | CA135087D507 | Kanada | CAD | Bond | Aaa | - | unknown | 0.000395368 |
JAPAN GOVERNMENT TEN YEAR BOND 3/25 | JP1103381F34 | Japan | JPY | Bond | A1 | - | unknown | 0.0003943151 |
JAPAN-116 (20 YR ISSUE) 03/30 | JP1201161A37 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0003927064 |
IRISH TSY 0.2 2030 SR UNSECURED REGS 10/30 0.2 10/30 | IE00BKFVC899 | Irland | EUR | Bond | - | - | unknown | 0.0003924777 |
UNITED STATES TREASURY NOTE/BOND 2/38 | US912810PW27 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0003918356 |
2.4% JAPAN-17 (30 YEAR ISSUE) 12/34 | JP1300171525 | Japan | JPY | Bond | A1 | - | unknown | 0.0003916147 |
REPUBLIC OF IRELAND 3/24 | IE00B6X95T99 | Irland | EUR | Bond | A3 | ISEQ Irish Overall Index | unknown | 0.000390655 |
ISRAEL FIXED BOND 01/42 | IL0011254005 | Israel | ILS | Bond | A1 | - | unknown | 0.0003903 |
BBG0110XHPD5 CANADIAN GOVERNMENT 8/23 | CA135087M359 | Kanada | CAD | Bond | - | - | unknown | 0.0003851786 |
US TREASURY N/B 5/37 | US912810PU60 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0003826525 |
DENMARK (KINGDOM OF) 11/25 | DK0009923138 | Dänemark | DKK | Bond | Aaa | - | unknown | 0.0003818272 |
IRELAND (GOVERNMENT) 1.500% 2050-05-15 | IE00BH3SQB22 | Irland | EUR | Bond | - | - | unknown | 0.000381415 |
CANADA (GOVERNMENT OF) 12/48 | CA135087D358 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0003802738 |
2.75% AUSTRALIAN GOVERNMENT 04/24 | AU3TB0000143 | Australien | AUD | Bond | Aaa | S&P/ASX 200 Index | unknown | 0.0003796227 |
IRELAND 5/27 | IE00BKFVC568 | Irland | EUR | Bond | - | - | unknown | 0.0003781411 |
REPUBLIC OF FINLAND 7/42 | FI4000046545 | Finnland | EUR | Bond | Aa1 | OMX Helsinki Index | unknown | 0.0003774744 |
CANADIAN GOVERNMENT 6/24 | CA135087B451 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0003766597 |
SWEDISH GOVERNMENT 11/23 | SE0004869071 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0003730305 |
JAPAN-20 (30 YEAR ISSUE) 9/35 | JP13002015A5 | Japan | JPY | Bond | A1 | - | unknown | 0.0003724382 |
JAPAN-103 (20 YR ISSUE) 06/28 | JP1201031877 | Japan | JPY | Bond | A1 | - | unknown | 0.0003720263 |
4% FINNLAND GOVERNMENT 07/25 | FI4000006176 | Finnland | EUR | Bond | Aa1 | OMX Helsinki Index | unknown | 0.0003717448 |
KINGDOM OF BELGIUM 6/37 | BE0000344532 | Belgien | EUR | Bond | Aa3 | - | unknown | 0.0003707251 |
JAPAN-111 (20 YR ISSUE) 06/29 | JP1201111968 | Japan | JPY | Bond | A1 | - | unknown | 0.0003705389 |
JAPAN-95 (20 YEAR ISSUE) 6/27 | JP1200951760 | Japan | JPY | Bond | A1 | - | unknown | 0.0003704813 |
AUSTRALIA (GOVERNMENT OF) 51 1.75 6/51 | AU0000097495 | Australien | AUD | Bond | Aaa | - | unknown | 0.0003701795 |
AUSTRALIA (GOVERNMENT OF) 05/41 AT496992 | AU0000018442 | Australien | AUD | Bond | - | - | unknown | 0.0003699401 |
1.7% JAPAN-137(20 YEAR ISSUE) 06/32 | JP1201371C64 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0003695128 |
SWEDISH GOVERNMENT 5/25 | SE0005676608 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0003674314 |
3.8% REPUBLIC OF AUSTRIA 01/62 | AT0000A0U299 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0003673221 |
SWEDEN (KINGDOM OF) 11/26 SEK00943 | SE0007125927 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0003649798 |
JAPAN-97 (20 YEAR ISSUE) 9/27 | JP1200971792 | Japan | JPY | Bond | A1 | - | unknown | 0.0003642134 |
BBG00ZVD9TP9 JAPAN (GOVERNMENT OF) 23 0.005 4/23 | JP1024231M43 | Japan | JPY | Bond | - | - | unknown | 0.0003608249 |
0.25 DNK 22 BDS | DK0009923997 | Dänemark | DKK | Bond | - | - | unknown | 0.0003587689 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 6/33 | JP1300111372 | Japan | JPY | Bond | A1 | - | unknown | 0.0003577845 |
JAPAN GOVERNMENT THIRTY YEAR BOND 6/45 | JP1300471F60 | Japan | JPY | Bond | A1 | - | unknown | 0.0003553746 |
BELGIUM (KINGDOM OF) 10/27 | BE0000351602 | Belgien | EUR | Bond | - | - | unknown | 0.0003553726 |
AUSTRALIA (GOVERNMENT OF) 11/28 AM564740 | AU000XCLWAU3 | Australien | AUD | Bond | Aaa | - | unknown | 0.0003511572 |
BBG011P69NW0 UKT 1.125 01/31/39 1/39 | GB00BLPK7334 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0003508468 |
KINGDOM OF DENMARK 11/23 | DK0009923054 | Dänemark | DKK | Bond | Aaa | - | unknown | 0.0003508299 |
JAPAN GOVERNMENT TEN YEAR BOND 9/25 | JP1103401F97 | Japan | JPY | Bond | A1 | - | unknown | 0.0003502638 |
1.8% JAPAN-119(20 YEAR ISSUE) 06/30 | JP1201191A72 | Japan | JPY | Bond | A1 | - | unknown | 0.0003462622 |
UNITED STATES TREASURY NOTE/BOND 8/28 | US912810FE39 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0003441004 |
REPUBLIC OF FINLAND 9/29 | FI4000369467 | Finnland | EUR | Bond | - | - | unknown | 0.0003440714 |
AUSTRALIA (GOVERNMENT OF) 06/39 AUD17564 | AU000XCLWAP3 | Australien | AUD | Bond | Aaa | - | unknown | 0.000343802 |
JAPAN-88 (20 YEAR ISSUE) 6/26 | JP1200881660 | Japan | JPY | Bond | A1 | - | unknown | 0.0003427669 |
CANADIAN GOVERNMENT 6/23 | CA135087A610 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0003425092 |
2.75% REPUBLIC OF FINLAND 7/28 | FI4000037635 | Finnland | EUR | Bond | Aa1 | OMX Helsinki Index | unknown | 0.0003423607 |
2.3% JAPAN-19 (30 YEAR ISSUE) 06/35 | JP1300191572 | Japan | JPY | Bond | A1 | - | unknown | 0.0003422277 |
JAPAN- 13(30 YEAR ISSUE) 12/33 | JP1300131420 | Japan | JPY | Bond | A1 | - | unknown | 0.0003421981 |
JAPAN (10 YR ISSUE) 12/25 | JP1103411FC6 | Japan | JPY | Bond | A1 | - | unknown | 0.0003401434 |
BBG012SDG1Q7 UK CONV GILT 7/53 | GB00BM8Z2V59 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0003382312 |
JAPAN GOVERNMENT TEN YEAR BOND 6/26 | JP1103431G66 | Japan | JPY | Bond | A1 | - | unknown | 0.0003304663 |
BBG0100R2F66 SPAIN GOVERNMENT BOND 7/37 | ES0000012I24 | Spanien | EUR | Bond | - | - | unknown | 0.0003297195 |
SWEDEN (KINGDOM OF) 05/28 SEK01495 | SE0009496367 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0003290807 |
REPUBLIC OF IRELAND 5/37 | IE00BV8C9B83 | Irland | EUR | Bond | A3 | - | unknown | 0.0003252795 |
UNITED STATES TREASURY NOTE/BOND 5/38 | US912810PX00 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0003232593 |
BBG012XQV4P0 JAPAN (GOVERNMENT OF) 30YR #72 0.7% SEP 20 2051 9/51 | JP1300721MA9 | Japan | JPY | Bond | - | - | unknown | 0.0003228107 |
BBG011PLVRG1 FRANCE (REPUBLIC OF) 0.75% MAY 25 2053 5/53 | FR0014004J31 | Frankreich | EUR | Bond | - | - | unknown | 0.0003212488 |
4% CANADIAN GOVERNMENT 06/41 | CA135087YQ12 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0003200198 |
FINLAND (REPUBLIC OF) 09/27 AO938950 | FI4000278551 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0003196047 |
BBG00YZ22L49 FRENCH REPUBLIC GOVERNMENT BOND OAT 5/72 | FR0014001NN8 | Frankreich | EUR | Bond | - | - | unknown | 0.0003168034 |
7.5% NETHERLANDS GOVERNMENT 01/23 | NL0000102077 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0003154954 |
ISRAEL FIXED BOND 08/25 ILS00047 | IL0011355570 | Israel | ILS | Bond | A1 | - | unknown | 0.0003148268 |
1% ISRAEL 03/30 | IL0011609851 | Israel | ILS | Bond | - | - | unknown | 0.0003123794 |
JAPAN-93 (20 YEAR ISSUE) 3/27 | JP1200931739 | Japan | JPY | Bond | A1 | - | unknown | 0.000310224 |
SWEDISH GOVERNMENT 3/39 | SE0002829192 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0003088187 |
BBG0100Q9GY8 AUSTRIA (REPUBLIC OF) 25 0.0 4/25 | AT0000A2QRW0 | Österreich | EUR | Bond | - | - | unknown | 0.0003067599 |
JAPAN (GOVERNMENT OF) 09/23 AV060161 | JP1051371JA0 | Japan | JPY | Bond | - | - | unknown | 0.00030568 |
JAPAN GOVERNMENT TEN YEAR BOND 12/24 | JP1103371F10 | Japan | JPY | Bond | A1 | - | unknown | 0.0003043328 |
AUSTRALIA (GOVERNMENT OF) 06/35 AUD15090 | AU000XCLWAM0 | Australien | AUD | Bond | Aaa | - | unknown | 0.0003043062 |
JAPAN (GOVERNMENT OF) 06/23 AT536590 | JP1051361J76 | Japan | JPY | Bond | - | - | unknown | 0.0003039845 |
2% NORWEGIAN GOVERNMENT 05/23 | NO0010646813 | Norwegen | NOK | Bond | Aaa | - | unknown | 0.0003035682 |
BELGIUM (KINGDOM OF) 6/40 | BE0000350596 | Belgien | EUR | Bond | - | - | unknown | 0.0003028894 |
UNITED STATES TREASURY NOTE/BOND 8/23 | US912810EQ77 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | S&P 500 Index | unknown | 0.0003015953 |
BBG00YT43RX6 DENMARK (KINGDOM OF) 31 0.0 11/31 | DK0009924102 | Dänemark | DKK | Bond | - | - | unknown | 0.0002999521 |
ISRAEL FIXED BOND 03/24 | IL0011308488 | Israel | ILS | Bond | A1 | - | unknown | 0.0002998047 |
JAPAN- 69(20 YEAR ISSUE) 03/24 | JP1200691457 | Japan | JPY | Bond | A1 | - | unknown | 0.000298069 |
JAPAN GOVERNMENT TEN YEAR BOND 3/26 | JP1103421G35 | Japan | JPY | Bond | A1 | - | unknown | 0.0002976807 |
NORWEGIAN GOVERNMENT 3/24 | NO0010705536 | Norwegen | NOK | Bond | Aaa | - | unknown | 0.0002951902 |
1,7% JAPAN-135(20 YEAR ISSUE) 03/32 | JP1201351C43 | Japan | JPY | Bond | A1 | - | unknown | 0.0002942134 |
JAPAN-104 (20 YR ISSUE) 06/28 | JP1201041884 | Japan | JPY | Bond | A1 | - | unknown | 0.0002931634 |
CANADA (GOVERNMENT OF) 03/24 135087J5 | CA135087J546 | Kanada | CAD | Bond | - | - | unknown | 0.0002926558 |
UNITED STATES TREASURY NOTE/BOND 2/26 | US912810EW46 | Vereinigte Staaten von Amerika | USD | Bond | Aaa | - | unknown | 0.0002915275 |
SWEDEN (KINGDOM OF) 11/29 AS783715 | SE0011281922 | Schweden | SEK | Bond | - | - | unknown | 0.0002911042 |
REPUBLIC OF IRELAND 3/31 | IE00BFZRQ242 | Irland | EUR | Bond | - | - | unknown | 0.0002910909 |
1.8% JAPAN 9/30 | JP1201221AA5 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0002898601 |
IRISH TSY 3.9% 2023 3/23 | IE00B4S3JD47 | Irland | EUR | Bond | A3 | ISEQ Irish Overall Index | unknown | 0.000285633 |
JAPAN-98 (20 YEAR ISSUE) 9/27 | JP12009817B7 | Japan | JPY | Bond | A1 | - | unknown | 0.0002849432 |
2.875% SINGAPORE 09/30 | SG7U32949426 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002844349 |
BBG012CF8NY1 GERMANY (FEDERAL REPUBLIC OF) 8/52 | DE0001102572 | Deutschland | EUR | Bond | - | - | unknown | 0.0002839339 |
JAPAN GOVERNMENT THIRTY YEAR BOND 9/45 | JP1300481F92 | Japan | JPY | Bond | A1 | - | unknown | 0.0002838903 |
AUSTRIA 3/51 | AT0000A2EJ08 | Österreich | EUR | Bond | - | - | unknown | 0.0002818933 |
JAPAN-83 (20 YEAR ISSUE) 12/25 | JP12008315C1 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0002811393 |
5.75% CANADIAN GOVERNMENT 06/29 | CA135087WL43 | Kanada | CAD | Bond | Aaa | S&P/TSX COMPOSITE Index | unknown | 0.000279575 |
JAPAN-101 (20 YR ISSUE) 03/28 | JP1201011853 | Japan | JPY | Bond | A1 | - | unknown | 0.0002783474 |
AUSTRIA 4/23 | AT0000A2EJZ6 | Österreich | EUR | Bond | - | - | unknown | 0.0002768821 |
REPUBLIC OF FINLAND 4/26 | FI4000197959 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0002740984 |
SINGAPORE GOVERNMENT 9/24 | SG7S30941627 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002731088 |
BBG010Z6LKB6 BUNDESREPUB. DEUTSCHLAND BONDS REGS 08/50 0.00000 8/50 | DE0001030724 | Deutschland | EUR | Bond | - | - | unknown | 0.0002709456 |
US DOLLAR | _CURRENCYUSD | Vereinigte Staaten von Amerika | USD | Cash | - | - | unknown | 0.0002707085 |
ISRAEL FIXED BOND 23 0.15 7/23 | IL0011671059 | Israel | ILS | Bond | - | - | unknown | 0.0002698828 |
JAPAN-76 (20 YEAR ISSUE) 3/25 | JP1200761540 | Japan | JPY | Bond | A1 | - | unknown | 0.0002696655 |
JAPAN-106(20 YEAR ISSUE) 09/28 | JP12010618A8 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.0002669641 |
CANADA (GOVERNMENT OF) 06/27 135087F8 | CA135087F825 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0002666415 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 9/33 | JP13001213B5 | Japan | JPY | Bond | A1 | - | unknown | 0.0002657462 |
DENMARK 11/52 | DK0009924029 | Dänemark | DKK | Bond | - | - | unknown | 0.0002615278 |
ISRAEL FIXED BOND 03/23 | IL0011267478 | Israel | ILS | Bond | A1 | - | unknown | 0.0002605549 |
BBG0129NSLP0 UKT 0 1/2 01/31/29 1/29 | GB00BLPK7227 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0002595563 |
BBG00YCKQ151 JAPAN (GOVERNMENT OF) 22 0.1 12/22 | JP1024191LC8 | Japan | JPY | Bond | - | - | unknown | 0.000256569 |
CANADA (GOVERNMENT) 1.500% 2024-09-01 | CA135087J967 | Kanada | CAD | Bond | - | - | unknown | 0.0002562855 |
SINGAPORE (GOVERNMENT OF) 08/36 SGD01131 | SG31A9000002 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002559299 |
ISRAEL FIXED BOND 03/27 ILS00059 | IL0011393449 | Israel | ILS | Bond | A1 | - | unknown | 0.0002549137 |
IRELAND 15 YEAR BENCHMARK 1.300% 2033-05-15 | IE00BFZRPZ02 | Irland | EUR | Bond | A2 | - | unknown | 0.0002528682 |
SINGAPORE GOVERNMENT 1/23 | SG3260987684 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002526946 |
CANADA (GOVERNMENT OF) 03/25 135087K52 | CA135087K528 | Kanada | CAD | Bond | - | - | unknown | 0.0002502704 |
BBG01224N4C6 CANADA (GOVERNMENT OF) 0.5% NOV 1 2023 11/23 | CA135087M763 | Kanada | CAD | Bond | - | - | unknown | 0.0002499286 |
JAPANESE YEN | _CURRENCYJPY | Japan | JPY | Cash | - | - | unknown | 0.000248209 |
NORWAY (KINGDOM OF) 30 1.375 8/30 | NO0010875230 | Norwegen | NOK | Bond | - | - | unknown | 0.0002464868 |
JAPAN- 64(20 YEAR ISSUE) 09/23 | JP12006413A0 | Japan | JPY | Bond | A1 | - | unknown | 0.0002454388 |
JAPAN-78 (20 YEAR ISSUE) 6/25 | JP1200781563 | Japan | JPY | Bond | A1 | - | unknown | 0.0002450288 |
ISRAEL FIXED BOND 09/28 AT340378 | IL0011508798 | Israel | ILS | Bond | - | - | unknown | 0.0002448463 |
REPUBLIC OF FINLAND 9/23 | FI4000219787 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0002443294 |
STATE OF ISRAEL 10/26 | IL0010994569 | Israel | ILS | Bond | A1 | - | unknown | 0.0002434811 |
NORWAY (KINGDOM OF) 02/26 NOK02460 | NO0010757925 | Norwegen | NOK | Bond | Aaa | - | unknown | 0.0002412088 |
REPUBLIC OF FINLAND 4/24 | FI4000079041 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0002410873 |
SINGAPORE GOVERNMENT 3/27 | SG7J60932174 | Singapur | SGD | Bond | Aaa | FTSE ST All Share Index | unknown | 0.0002404134 |
0.5% ISRAEL 04/25 | IL0011626681 | Israel | ILS | Bond | - | - | unknown | 0.0002399591 |
5% CANADIAN GOVERNMENT 06/37 | CA135087XW98 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0002399324 |
BBG012F1MNT9 SPAIN OBL 1% 30JUL2042 7/42 | ES0000012J07 | Spanien | EUR | Bond | - | - | unknown | 0.0002392982 |
1.75 CAN 53 BDS | CA135087M680 | Kanada | CAD | Bond | - | - | unknown | 0.000236264 |
JAPAN-89 (20 YEAR ISSUE) 6/26 | JP1200891685 | Japan | JPY | Bond | A1 | - | unknown | 0.000235219 |
JAPAN- 63(20 YEAR ISSUE) 06/23 | JP1200631388 | Japan | JPY | Bond | A1 | - | unknown | 0.0002346241 |
REPUBLIC OF FINLAND 4/47 | FI4000242870 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0002338101 |
POUND STERLING | _CURRENCYGBP | Großbritannien (UK) | GBP | Cash | - | - | unknown | 0.0002332114 |
CANADA (GOVERNMENT OF) 06/28 135087H2 | CA135087H235 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0002328851 |
JAPAN (GOVT OF) 10Y #336 12/24 JPY20318 | JP1103361EC6 | Japan | JPY | Bond | A1 | - | unknown | 0.0002328098 |
JAPAN-82 (20 YEAR ISSUE) 9/25 | JP12008215A7 | Japan | JPY | Bond | A1 | - | unknown | 0.0002321735 |
JAPAN-87(20 YEAR ISSUE) 3/26 | JP1200871653 | Japan | JPY | Bond | A1 | - | unknown | 0.0002320514 |
BBG00ZZLCQX0 NETHERLANDS (KINGDOM OF) 0% JAN 15 2038 1/38 | NL0015000B11 | Niederlande | EUR | Bond | - | - | unknown | 0.0002318053 |
BBG00Y02BVW4 GERMANY (FEDERAL REPUBLIC OF) 10/25 | DE0001030716 | Deutschland | EUR | Bond | - | - | unknown | 0.0002312507 |
CANADA (GOVERNMENT OF) 06/29 135087J3 | CA135087J397 | Kanada | CAD | Bond | - | - | unknown | 0.000231091 |
FINLAND (REPUBLIC OF) 30 0.0 9/30 | FI4000441878 | Finnland | EUR | Bond | - | - | unknown | 0.0002310369 |
ISRAEL FIXED BOND 11/23 AU813041 | IL0011550683 | Israel | ILS | Bond | - | - | unknown | 0.0002276655 |
JAPAN-65 (20 YEAR ISSUE) 12/23 | JP12006513C3 | Japan | JPY | Bond | A1 | - | unknown | 0.0002269169 |
BBG0113H0K28 FINNISH GOVERNMENT SR UNSECURED 144A REGS 09/31 0 9/31 | FI4000507231 | Finnland | EUR | Bond | - | - | unknown | 0.0002254115 |
REPUBLIC OF FINLAND 4/31 | FI4000148630 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0002251708 |
JAPAN-85 (20 YEAR ISSUE) 3/26 | JP1200851630 | Japan | JPY | Bond | A1 | - | unknown | 0.000224838 |
JAPAN- 86(20 YEAR ISSUE) 03/26 | JP1200861647 | Japan | JPY | Bond | A1 | - | unknown | 0.0002247659 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 9/36 | JP13002416A5 | Japan | JPY | Bond | A1 | - | unknown | 0.0002244987 |
JAPAN-107 (20 YR ISSUE) 12/28 | JP12010718C2 | Japan | JPY | Bond | A1 | - | unknown | 0.0002216745 |
JAPAN-81 (20 YEAR ISSUE) 9/25 | JP1200811592 | Japan | JPY | Bond | A1 | TOPIX Index | unknown | 0.000221668 |
NORWAY KINGDOM OF (GOVERNMENT) 2.000% 2028-04-26 | NO0010821598 | Norwegen | NOK | Bond | - | - | unknown | 0.0002215957 |
BBG0129MT0V0 NETHERLANDS (KINGDOM OF) 1/29 | NL0015000LS8 | Niederlande | EUR | Bond | - | - | unknown | 0.0002200359 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 11/32 | JP13000812B5 | Japan | JPY | Bond | A1 | - | unknown | 0.0002194165 |
JAPAN-59 (20 YEAR ISSUE) 12/22 | JP12005912C8 | Japan | JPY | Bond | A1 | - | unknown | 0.0002173752 |
SINGAPORE GOVERNMENT BOND 3/46 | SG31A7000004 | Singapur | SGD | Bond | Aaa | - | unknown | 0.000217316 |
"JAPAN GOVERNMENT TWENTY YEAR BOND" 3/25 | JP1200751533 | Japan | JPY | Bond | A1 | - | unknown | 0.0002171288 |
SINGAPORE GOVERNMENT BOND 6/26 | SG31A8000003 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002169938 |
IRELAND (REPUBLIC OF) 35 0.4 5/35 | IE00BKFVC345 | Irland | EUR | Bond | - | - | unknown | 0.0002167862 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 5/32 | JP1300071253 | Japan | JPY | Bond | A1 | - | unknown | 0.0002163333 |
JAPAN- 67(20 YEAR ISSUE) 03/24 | JP1200671434 | Japan | JPY | Bond | A1 | - | unknown | 0.0002116752 |
BUNDESREPUB DEUTSCHLAND 8/30 | DE0001030708 | Deutschland | EUR | Bond | - | - | unknown | 0.000210716 |
RFGB 1 1/8 04/15/34 | FI4000306758 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.000210548 |
"JAPAN GOVERNMENT THIRTY YEAR BOND" 3/33 | JP1300101357 | Japan | JPY | Bond | A1 | - | unknown | 0.0002101917 |
3.75% KINGDOM OF NETHERLANDS 01/23 | NL0000102275 | Niederlande | EUR | Bond | Aaa | AEX Index | unknown | 0.0002093816 |
FINLAND (REPUBLIC OF) 09/28 AU256850 | FI4000348727 | Finnland | EUR | Bond | - | - | unknown | 0.0002086405 |
NORWAY (KINGDOM OF) 03/25 NOK01480 | NO0010732555 | Norwegen | NOK | Bond | Aaa | - | unknown | 0.0002085182 |
JAPAN- 61(20 YEAR ISSUE) 03/23 | JP1200611349 | Japan | JPY | Bond | A1 | - | unknown | 0.0002068866 |
BBG00ZXNMKM2 ITALY 2.1501 MAR 2072 3/72 | IT0005441883 | Italien | EUR | Bond | - | - | unknown | 0.0002061607 |
ISRAEL FIXED BOND 37 1.5 | IL0011661803 | Israel | ILS | Bond | - | - | unknown | 0.0002056927 |
"JAPAN GOVERNMENT TWENTY YEAR BOND" 3/24 | JP1200681441 | Japan | JPY | Bond | A1 | - | unknown | 0.0002054489 |
SINGAPORE (GOVERNMENT OF) 07/29 | SG3263998209 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002048259 |
REPUBLIC OF FINLAND 4/23 | FI4000062625 | Finnland | EUR | Bond | Aa1 | OMX Helsinki Index | unknown | 0.0002043069 |
BBG00Z6NNQB0 BONOS Y OBLIG DEL ESTADO 10/71 | ES0000012H58 | Spanien | EUR | Bond | Baa1 | - | unknown | 0.0002042579 |
2.75% SINGAPORE GOVERNMENT 04/42 | SG3254976487 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0002016079 |
JAPAN- 62(20 YEAR ISSUE) 06/23 | JP1200621363 | Japan | JPY | Bond | A1 | - | unknown | 0.0001994415 |
BBG00Z46Q960 BELGIUM (KINGDOM OF) 6/71 | BE0000353624 | Belgien | EUR | Bond | - | - | unknown | 0.0001991271 |
BBG0101NDR75 IRELAND GOVERNMENT BOND 4/41 | IE00BMQ5JM72 | Irland | EUR | Bond | - | - | unknown | 0.0001980364 |
0.125% SWEDEN 05/31 | SE0013935319 | Schweden | SEK | Bond | - | - | unknown | 0.0001979047 |
BBG012JHF3L0 AUSTRIA (REPUBLIC OF) 36 0.25 10/36 | AT0000A2T198 | Österreich | EUR | Bond | - | - | unknown | 0.0001970627 |
BBG011QN9GY5 CANADIAN GOVERNMENT 10/24 | CA135087M508 | Kanada | CAD | Bond | - | - | unknown | 0.0001965475 |
JAPAN- 60(20 YEAR ISSUE) 12/22 | JP1200601324 | Japan | JPY | Bond | A1 | - | unknown | 0.0001962371 |
FINLAND (REPUBLIC OF) 09/25 EUR41075 | FI4000167317 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0001951315 |
FINLAND (REPUBLIC OF) 36 0.125 4/36 | FI4000415153 | Finnland | EUR | Bond | - | - | unknown | 0.0001936333 |
SINGAPORE (GOVERNMENT OF) 02/23 AQ885160 | SG31B8000001 | Singapur | SGD | Bond | - | - | unknown | 0.0001909557 |
ISRAEL FIXED BOND 11/22 AO168717 | IL0011412256 | Israel | ILS | Bond | - | - | unknown | 0.0001874758 |
SINGAPORE 3/50 | SGXF27246101 | Singapur | SGD | Bond | - | - | unknown | 0.0001854095 |
JAPAN (10 YR ISSUE) 9/23 | JP1103311DB5 | Japan | JPY | Bond | A1 | - | unknown | 0.0001851393 |
SWEDEN (KINGDOM OF) 06/32 | SE0004517290 | Schweden | SEK | Bond | Aaa | - | unknown | 0.0001850627 |
FI 9/24 | FI4000391529 | Finnland | EUR | Bond | Aa1 | - | unknown | 0.0001843361 |
CANADA (GOVERNMENT OF) 12/64 | CA135087C939 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0001842683 |
BBG0101N5S18 DENMARK (KINGDOM OF) 24 0.0 11/24 | DK0009924292 | Dänemark | DKK | Bond | - | - | unknown | 0.0001807974 |
SINGAPORE GOVERNMENT BOND 9/33 | SG3261987691 | Singapur | SGD | Bond | Aaa | - | unknown | 0.000180325 |
BBG011LP9H91 UKT 0 1/4 01/31/25 1/25 | GB00BLPK7110 | Großbritannien (UK) | GBP | Bond | - | - | unknown | 0.0001757272 |
BBG012CD9ZH7 GERMANY (FEDERAL REPUBLIC OF) 8/31 | DE0001030732 | Deutschland | EUR | Bond | - | - | unknown | 0.0001738927 |
FINNISH GOVERNMENT 9/40 | FI4000440557 | Finnland | EUR | Bond | - | - | unknown | 0.0001684094 |
SINGAPORE GOVERNMENT BOND 6/25 | SG31A0000001 | Singapur | SGD | Bond | Aaa | - | unknown | 0.0001661388 |
SINGAPORE (GOVERNMENT OF) 25 0.5 11/25 | SGXF29144064 | Singapur | SGD | Bond | - | - | unknown | 0.0001660204 |
AUSTRIA (REPUBLIC OF) | AT0000A2HLC4 | Österreich | EUR | Bond | - | - | unknown | 0.0001645196 |
NORWAY (KINGDOM OF) 09/29 AX351626 | NO0010844079 | Norwegen | NOK | Bond | - | - | unknown | 0.0001644963 |
AUSTRIA (REPUBLIC OF) EUR53545 | AT0000A1PEF7 | Österreich | EUR | Bond | Aa1 | - | unknown | 0.0001617879 |
NORWAY (KINGDOM OF) 02/27 AM501276 | NO0010786288 | Norwegen | NOK | Bond | Aaa | - | unknown | 0.0001559337 |
REPUBLIC OF AUSTRIA 10/40 | AT0000A2KQ43 | Österreich | EUR | Bond | - | - | unknown | 0.0001538538 |
BBG00Z6PLZ45 NORWAY (KINGDOM OF) 9/31 | NO0010930522 | Norwegen | NOK | Bond | - | - | unknown | 0.0001517323 |
CANADA (GOVERNMENT OF) 06/26 135087E6 | CA135087E679 | Kanada | CAD | Bond | Aaa | - | unknown | 0.0001505066 |
BBG01290WZ38 FINLAND (REPUBLIC OF) 26 0.0 9/26 | FI4000511449 | Finnland | EUR | Bond | - | - | unknown | 0.0001480129 |
AUSTRALIAN DOLLAR | _CURRENCYAUD | Australien | AUD | Cash | - | - | unknown | 0.0001472198 |
BBG012YNLK08 CANADIAN GOVERNMENT BOND 3/27 | CA135087M847 | Kanada | CAD | Bond | - | - | unknown | 0.0001419873 |
BBG0134VZNP3 CANADA (GOVERNMENT OF) 31 1.5 12/31 | CA135087N266 | Kanada | CAD | Bond | - | - | unknown | 0.0001403301 |
BBG00Z46T8W0 FINLAND (REPUBLIC OF) 4/52 | FI4000480488 | Finnland | EUR | Bond | - | - | unknown | 0.0001384988 |
SINGAPORE (GOVERNMENT OF) 02/24 AW852299 | SGXF92110679 | Singapur | SGD | Bond | - | - | unknown | 0.0001213221 |
SINGAPORE (GOVERNMENT OF) 05/28 AS303943 | SG31B7000002 | Singapur | SGD | Bond | - | - | unknown | 0.0001206852 |
BBG0131R7B72 SPGB 0 01/31/27 1/27 | ES0000012J15 | Spanien | EUR | Bond | - | - | unknown | 0.0001112127 |
BBG0133T0996 CANADA (GOVERNMENT OF) 24 0.75 2/24 | CA135087M920 | Kanada | CAD | Bond | - | - | unknown | 0.000111097 |
JAPAN-96 (20 YEAR ISSUE) 6/27 | JP1200961785 | Japan | JPY | Bond | A1 | - | unknown | 0.0001055055 |
SINGAPORE 7/39 | SGXF13029610 | Singapur | SGD | Bond | - | - | unknown | 0.0001030355 |
BBG00YNLCWW4 JAPAN (GOVERNMENT OF) 23 0.1 1/23 | JP1024201M15 | Japan | JPY | Bond | - | - | unknown | 0.0001017441 |
JAPAN (GOVERNMENT OF) 22 0.1 11/22 | JP1024181LB1 | Japan | JPY | Bond | - | - | unknown | 9.64508e-05 |
BBG00Z1Y2CX1 JAPAN (GOVERNMENT OF) 23 0.1 2/23 | JP1024211M21 | Japan | JPY | Bond | - | - | unknown | 9.49905e-05 |
BBG00ZVT3WR1 ISRAEL FIXED BOND 26 0.5 2/26 | IL0011746976 | Israel | ILS | Bond | - | - | unknown | 8.55072e-05 |
BBG011K1Z5D7 SINGAPORE (GOVERNMENT OF) 31 1.625 7/31 | SGXF76205099 | Singapur | SGD | Bond | - | - | unknown | 8.47323e-05 |
BBG012NV7P43 SINGAPORE (GOVERNMENT OF) 51 1.875 10/51 | SGXF89085702 | Singapur | SGD | Bond | - | - | unknown | 8.38035e-05 |
CANADIAN DOLLAR | _CURRENCYCAD | Kanada | CAD | Cash | - | - | unknown | 7.4758e-05 |
SINGAPORE DOLLAR | _CURRENCYSGD | Singapur | SGD | Cash | - | - | unknown | 6.78727e-05 |
NEW ISRAELI SHEQEL | _CURRENCYILS | Israel | ILS | Cash | - | - | unknown | 4.66665e-05 |
DANISH KRONE | _CURRENCYDKK | Dänemark | DKK | Cash | - | - | unknown | 3.7585e-05 |
SWEDISH KRONA | _CURRENCYSEK | Schweden | SEK | Cash | - | - | unknown | 3.36003e-05 |
SWISS FRANC | _CURRENCYCHF | Schweiz | CHF | Cash | - | - | unknown | 1.75009e-05 |
NORWEGIAN KRONE | _CURRENCYNOK | Norwegen | NOK | Cash | - | - | unknown | 1.16633e-05 |