Below, a list of constituents for LU1437016204 (AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - UCITS ETF DR (C)) is shown. In total, LU1437016204 consists of 982 securities.
Note: The data shown here is as of date 09.11.2021 (the latest that can be sourced directly from the fund provider).
Click here to go back to the full list of ETFs.
ISIN-Code | Name | Anlageklasse | Währung | Gewichtung in % |
US91282CCB54 | UNITED STATES 1.625 21-31 15/05S | Anleihen | USD | 0.46% |
US91282CCS89 | US TREASURY N/B 1.2500 21-31 15/08S | Anleihen | USD | 0.43% |
US91282CBL46 | UNITED STATES 1.125 21-31 15/02S | Anleihen | USD | 0.41% |
JP1103541K42 | JAPAN 10 YEAR ISSUE 0.1 19-29 20/03S | Anleihen | JPY | 0.37% |
US91282CAV37 | UNITED STATES -30 15/11U | Anleihen | USD | 0.37% |
US91282CAE12 | UNITED STATES OF AMER 0.625 20-30 15/08S | Anleihen | USD | 0.37% |
JP1051391K44 | JAPAN 0.1 19-34 20/03S | Anleihen | JPY | 0.36% |
US912828TY62 | UNITED STATES 1.625 12-22 15/11S | Anleihen | USD | 0.35% |
US912810SX72 | UNITED STATES -51 15/05S | Anleihen | USD | 0.32% |
US912828ZQ64 | UNITED STATES 0.625 20-30 15/05S | Anleihen | USD | 0.32% |
US912810SZ21 | UNITED STATES 2.00 -51 15/08S | Anleihen | USD | 0.29% |
US912828UN88 | UNITED STATES 2.00 13-23 15/02S | Anleihen | USD | 0.29% |
US912810SY55 | UNITED STATES 2.250 21-41 15/05S | Anleihen | USD | 0.29% |
US912828YB05 | UNITED STATES 1.375 19-22 15/10S | Anleihen | USD | 0.28% |
US9128286B18 | UNITED STATES 2.625 19-29 15/02S | Anleihen | USD | 0.28% |
US912810SU34 | UNITED STATES 1.875 21-51 15/02S | Anleihen | USD | 0.28% |
US912828YS30 | UNITED STATES 1.75 19-29 15/11S | Anleihen | USD | 0.27% |
US912828N308 | UNITED STATES 2.125 15-22 31/12S | Anleihen | USD | 0.27% |
US912810SW99 | UNITED STATES 1.875 21-41 15/02S | Anleihen | USD | 0.27% |
US9128285M81 | UNITED STATES 3.1250 18-28 15/11S | Anleihen | USD | 0.27% |
US91282CAX92 | UNITED STATES 0.125 20-22 30/11S | Anleihen | USD | 0.27% |
US9128284N73 | US TREASURY N/B 2.8750 18-28 15/05S | Anleihen | USD | 0.26% |
US912828M805 | UNITED STATES 2.00 15-22 30/11S | Anleihen | USD | 0.26% |
US9128286T26 | UNITED STATES 2.375 19-29 15/05S | Anleihen | USD | 0.26% |
US912828Z948 | UNITED STATES 1.5000 20-30 15/02S | Anleihen | USD | 0.25% |
US912828B667 | UNITED STATES 2.750 14-24 15/02S | Anleihen | USD | 0.25% |
US912828XT22 | UNITED STATES 2.00 17-24 31/05S | Anleihen | USD | 0.25% |
- | CASH | - | - | 0.25% |
US91282CCT62 | UNITED STATES TREASUR 0.375 21-24 15/08S | Anleihen | USD | 0.25% |
US91282CBG50 | UNITED STATES 0.125 21-23 31/01S | Anleihen | USD | 0.25% |
US912810SP49 | UNITED STATES 1.375 20-50 15/08S | Anleihen | USD | 0.25% |
US912810SS87 | UNITED STATES 1.625 20-50 15/11S | Anleihen | USD | 0.25% |
US912810TA60 | UNITED STATES 1.75 21-41 15/08S | Anleihen | USD | 0.24% |
US91282CCC38 | UNITED STATES 0.25 21-24 15/05S | Anleihen | USD | 0.24% |
US9128284V99 | US TREASURY N/B 2.8750 18-28 15/08S | Anleihen | USD | 0.24% |
US912810ST60 | UNITED STATES 1.3750 20-40 15/11S | Anleihen | USD | 0.24% |
US91282CBV28 | UNITED STATES 0.375 21-24 15/04S | Anleihen | USD | 0.24% |
US91282CCK53 | UNITED STATES 0.125 21-23 30/06S | Anleihen | USD | 0.23% |
US91282CBP59 | UNITED STATES 1.125 21-28 29/02S | Anleihen | USD | 0.23% |
US91282CCJ80 | UNITED STATES 0.8750 21-26 30/06S | Anleihen | USD | 0.23% |
FR0011883966 | FRANCE 2.50 13-30 25/05A | Anleihen | EUR | 0.23% |
FR0010773192 | FRANCE 4.50 09-41 25/04A | Anleihen | EUR | 0.23% |
US91282CCE93 | UNITED STATES 1.25 21-28 31/05S | Anleihen | USD | 0.23% |
US91282CBZ32 | UNITED STATES 1.250 21-28 30/04S | Anleihen | USD | 0.23% |
US912828V988 | USA T NOTES B 2.25 17-27 15/02S | Anleihen | USD | 0.23% |
US91282CBN02 | UNITED STATES 0.125 21-23 28/02S | Anleihen | USD | 0.22% |
US912828W713 | UNITED STATES 2.125 17-24 31/03S | Anleihen | USD | 0.22% |
US912810SE91 | UNITED STATES 2.25 19-49 15/08S | Anleihen | USD | 0.22% |
US912828WE61 | UNITED STATES 2.75 13-23 15/11S | Anleihen | USD | 0.22% |
US91282CAF86 | UNITED STATES 0.125 20-23 15/08S | Anleihen | USD | 0.22% |
FR0011317783 | FRANCE 2.75 12-27 25/10A | Anleihen | EUR | 0.22% |
US91282CCR07 | UNITED STATES TREASURY NO 1 21-28 31/07S | Anleihen | USD | 0.22% |
US91282CBM29 | UNITED STATES 0.125 21-24 15/02S | Anleihen | USD | 0.22% |
US91282CBJ99 | UNITED STATES 0.75 21-28 31/01S | Anleihen | USD | 0.22% |
US91282CCH25 | UNITED STATES 1.25 21-28 30/06S | Anleihen | USD | 0.22% |
JP1051451LA6 | JAPAN 0.10 20-25 20/09S | Anleihen | JPY | 0.22% |
US91282CBS98 | UNITED STATES 1.250 21-28 31/03S | Anleihen | USD | 0.22% |
US912828J272 | UNITED STATES 2.00 15-25 15/02S | Anleihen | USD | 0.22% |
JP1051441L76 | JAPAN 0.10 20-25 20/06S | Anleihen | JPY | 0.21% |
US912810SH23 | UNITED STATES 2.875 19-49 15/05S | Anleihen | USD | 0.21% |
US91282CCV19 | UNITED STATES 1.125 21-28 31/08S | Anleihen | USD | 0.21% |
US91282CCF68 | UNITED STATES 0.75 21-26 31/05S | Anleihen | USD | 0.21% |
US912828X885 | UNITED STATES 2.375 17-27 15/05S | Anleihen | USD | 0.21% |
JP1103531K10 | JAPAN -353- 0.1 18-28 20/12S | Anleihen | JPY | 0.21% |
JP1103591L73 | JAPAN 0.10 20-30 20/06S | Anleihen | JPY | 0.21% |
US91282CBT71 | UNITED STATES 0.7500 21-26 31/03S | Anleihen | USD | 0.21% |
US91282CBQ33 | UNITED STATES 0.50 21-26 28/02S | Anleihen | USD | 0.21% |
JP1103601LA4 | JAPAN 0.10 20-30 20/09S | Anleihen | JPY | 0.21% |
US91282CBB63 | US TREASURY 0.625 20-27 31/12S | Anleihen | USD | 0.21% |
US91282CDF59 | UNITED STATES 1.375 21-28 31/10S | Anleihen | USD | 0.21% |
US912828K742 | UNITED STATES 2.00 15-25 15/08S | Anleihen | USD | 0.21% |
US912828D564 | UNITED STATES 2.375 14-24 15/08S | Anleihen | USD | 0.21% |
US912810SK51 | UNITED STATES 2.375 19-49 15/11S | Anleihen | USD | 0.21% |
FR0012993103 | FRANCE 1.50 15-31 25/05A | Anleihen | EUR | 0.21% |
US912810SF66 | UNITED STATES 3.0 19-49 15/02S | Anleihen | USD | 0.20% |
US9128283W81 | UNITED STATES 2.75 18-28 15/02S | Anleihen | USD | 0.20% |
US91282CCY57 | UNITED STATES TREA 1.25 21-28 30/09S | Anleihen | USD | 0.20% |
US91282CBW01 | UNITED STATES 0.75 21-26 30/04S | Anleihen | USD | 0.20% |
US912828VS66 | UNITED STATES 2.50 13-23 15/08S | Anleihen | USD | 0.20% |
US912828M565 | UNITED STATES 2.25 15-25 15/11S | Anleihen | USD | 0.20% |
US912810SJ88 | UNITED STATES 2.25 19-49 15/08S | Anleihen | USD | 0.20% |
FR0000187635 | FRANCE 5.75 00-32 25/10A | Anleihen | EUR | 0.20% |
US91282CCU36 | UNITED STATES OF AMER 0.125 21-23 31/08S | Anleihen | USD | 0.20% |
US9128282R06 | UNITED STATES 2.25 17-27 15/08S | Anleihen | USD | 0.20% |
US9128282A70 | UNITED STATES 1.50 16-26 15/08S | Anleihen | USD | 0.20% |
US91282CDB46 | UNITED STATES 0.625 21-24 15/10S | Anleihen | USD | 0.20% |
US91282CAW10 | UNITED STATES 0.25 20-23 15/11S | Anleihen | USD | 0.20% |
US912828U246 | UNITED STATES 2.00 16-26 15/11S | Anleihen | USD | 0.20% |
US912828WJ58 | UNITED STATES 2.50 14-24 15/05S | Anleihen | USD | 0.20% |
US9128283F58 | UNITED STATES 2.25 17-27 15/11S | Anleihen | USD | 0.20% |
US91282CCZ23 | US TREASURY N/B 0.8750 21-26 30/09S | Anleihen | USD | 0.20% |
GB00B24FF097 | UNITED KINGDOM 4.75 07-30 07/12S | Anleihen | GBP | 0.20% |
US91282CBH34 | UNITED STATES 0.375 21-26 31/01S | Anleihen | USD | 0.20% |
US91282CCW91 | UNITED STATES 0.75 21-26 31/08S | Anleihen | USD | 0.20% |
US91282CAN11 | UNITED STATES 0.125 20-22 30/09S | Anleihen | USD | 0.20% |
US912828VB32 | UNITED STATES 1.750 13-23 15/05S | Anleihen | USD | 0.20% |
US912828XB14 | UNITED STATES 2.125 15-25 15/05 | Anleihen | USD | 0.20% |
JP1051381K12 | JAPAN -138- 0.1 18-23 20/12S | Anleihen | JPY | 0.20% |
US91282CDG33 | UNITED STATES 1.125 21-26 31/10S | Anleihen | USD | 0.20% |
US912810SQ22 | UNITED STATES 1.125 20-40 15/08S | Anleihen | USD | 0.20% |
FR0010466938 | FRANCE 4.25 06-23 25/10A | Anleihen | EUR | 0.20% |
US912810SL35 | UNITED STATES 2.00 20-50 15/02S | Anleihen | USD | 0.19% |
US91282CBU45 | UNITED STATES 0.125 21-23 31/03S | Anleihen | USD | 0.19% |
US91282CBC47 | UNITED STATES 0.375 20-25 31/12S | Anleihen | USD | 0.19% |
US91282CBD20 | UNITED STATES 0.125 20-22 31/12S | Anleihen | USD | 0.19% |
US91282CCP41 | UNITED STATES 0.625 21-26 31/07S | Anleihen | USD | 0.19% |
US912810SD19 | UNITED STATES 3.00 18-48 15/08S | Anleihen | USD | 0.19% |
US912810SN90 | US TREASURY 1.25 20-50 15/11S | Anleihen | USD | 0.19% |
US912828G385 | UNITED STATES 2.25 14-24 15/11S | Anleihen | USD | 0.19% |
US91282CAU53 | UNITED STATES 0.50 20-27 31/10S | Anleihen | USD | 0.19% |
US912828R366 | UNITED STATES 1.625 16-26 15/05S | Anleihen | USD | 0.19% |
US91282CCD11 | UNITED STATES 0.125 21-23 31/05S | Anleihen | USD | 0.19% |
US9128283U26 | WI TREASURY SEC. 2.375 18-23 31/01S | Anleihen | USD | 0.19% |
FR0010916924 | FRANCE 3.50 10-26 25/04A | Anleihen | EUR | 0.19% |
US91282CDA62 | UNITED STATES TREASUR 0.25 21-23 30/09S | Anleihen | USD | 0.19% |
US91282CAY75 | UNITED STATES 0.625 20-27 30/11S | Anleihen | USD | 0.19% |
US912828ZP81 | UNITED STATES 0.1250 20-23 15/05S | Anleihen | USD | 0.19% |
US91282CBE03 | UNITED STATES 0.125 21-24 15/01S | Anleihen | USD | 0.19% |
JP1103521JA8 | JAPAN 0.10 18-28 20/09S | Anleihen | JPY | 0.19% |
US912828TJ95 | UNITED STATES 1.625 12-22 15/08S | Anleihen | USD | 0.19% |
FR0000571218 | FRANCE 5.50 98-29 25/04A | Anleihen | EUR | 0.19% |
US91282CAJ09 | UNITED STATES 0.25 20-25 31/08S | Anleihen | USD | 0.19% |
GB00B52WS153 | UK TREASURY STOCK 4.50 09-34 07/09S | Anleihen | GBP | 0.19% |
US912810QQ40 | UNITED STATES 4.375 11-41 15/05S | Anleihen | USD | 0.19% |
US912828Y875 | UNITED STATES 1.75 19-24 31/07S | Anleihen | USD | 0.19% |
US912828YH74 | UNITED STATES OF AMER 1.500 19-24 30/09S | Anleihen | USD | 0.18% |
FR0013286192 | FRANCE 0.75 17-28 25/05A | Anleihen | EUR | 0.18% |
US912810QL52 | UNITED STATES 3.75 11-41 15/08S | Anleihen | USD | 0.18% |
US912828Z864 | UNITED STATES 1.375 20-23 15/02S | Anleihen | USD | 0.18% |
FR0011619436 | FRANCE 2.25 13-24 25/05A | Anleihen | EUR | 0.18% |
GB00BN65R313 | UNITED KINGDOM 3.50 14-45 22/01S | Anleihen | GBP | 0.18% |
GB00B54QLM75 | UK TREASURY STOCK 4.00 09-60 22/01S | Anleihen | GBP | 0.18% |
US91282CBX83 | UNITED STATES 0.125 21-23 30/04S | Anleihen | USD | 0.18% |
US912810QE10 | UNITED STATES 4.625 10-40 15/02S | Anleihen | USD | 0.18% |
US912828P469 | UNITED STATES 1.625 16-26 15/02S | Anleihen | USD | 0.18% |
JP1103551K72 | JAPAN 0.10 19-29 20/06S | Anleihen | JPY | 0.18% |
US91282CCX74 | US TREASURY N/B 0.3750 21-24 15/09S | Anleihen | USD | 0.18% |
FR0013341682 | FRANCE 0.75 17-28 25/11A | Anleihen | EUR | 0.18% |
US912810QK79 | UNITED STATES 3.875 10-40 15/08S | Anleihen | USD | 0.18% |
US9128282U35 | UNITED STATES 1.875 17-24 31/08S | Anleihen | USD | 0.18% |
US912828YA22 | UNITED STATES 1.5000 19-22 15/08S | Anleihen | USD | 0.18% |
FR0013415627 | FRANCE 0.00 19-25 25/03A | Anleihen | EUR | 0.18% |
US912810QD37 | UNITED STATES 4.375 09-39 15/11S | Anleihen | USD | 0.18% |
JP1103581L42 | JAPAN 10 YEAR ISSUE 0.1 20-30 20/03S | Anleihen | JPY | 0.18% |
JP1103281D37 | JAPAN GOVT 328 0.60 13-23 20/03S | Anleihen | JPY | 0.18% |
US912810QS06 | UNITED STATES 3.75 11-41 15/08S | Anleihen | USD | 0.18% |
JP1103611M11 | JAPAN 0.10 21-30 20/12S | Anleihen | JPY | 0.18% |
US912810QN19 | UNITED STATES 4.75 11-41 15/02S | Anleihen | USD | 0.18% |
US91282CAZ41 | UNITED STATES 0.375 20-25 30/11S | Anleihen | USD | 0.18% |
JP1051481M76 | JAPAN 0.005 21-26 20/06S | Anleihen | JPY | 0.18% |
US912810QH41 | UNITED STATES 2.125 11-21 15/08S | Anleihen | USD | 0.18% |
JP1103571L10 | JAPON 0.10 19-29 20/12S | Anleihen | JPY | 0.18% |
GB00BYZW3G56 | UNITED KINGDOM 1.50 16-26 22/07S | Anleihen | GBP | 0.17% |
FR0013516549 | FRANCE 0.0000 20-30 25/11A | Anleihen | EUR | 0.17% |
US912810RC45 | UNITED STATES 3.625 13-43 15/08S | Anleihen | USD | 0.17% |
US91282CDD02 | UNITED STATES 0.375 21-23 31/10S | Anleihen | USD | 0.17% |
US912810SC36 | UNITED STATES 3.1250 18-48 15/05S | Anleihen | USD | 0.17% |
US91282CAR25 | UNITED STATES 0.125 20-22 31/10S | Anleihen | USD | 0.17% |
JP1103631M74 | JAPAN 0.10 21-31 20/06S | Anleihen | JPY | 0.17% |
JP1051461M13 | JAPAN 0.10 21-25 20/12S | Anleihen | JPY | 0.17% |
US912810RD28 | UNITED STATES 3.75 13-43 15/11S | Anleihen | USD | 0.17% |
US91282CAT80 | UNITED STATES 0.25 20-25 31/10S | Anleihen | USD | 0.17% |
JP1103251C91 | JAPAN 0.80 12-22 20/09S | Anleihen | JPY | 0.17% |
GB00BK5CVX03 | UNITED KINGDOM OF GR 0.625 19-25 07/06S | Anleihen | GBP | 0.17% |
US91282CAL54 | UNITED STATES 0.3750 20-27 30/09S | Anleihen | USD | 0.17% |
GB00BBJNQY21 | UNITED KINGDOM 3.50 13-65 22/07S | Anleihen | GBP | 0.17% |
JP1103561KA2 | JAPAN 0.10 19-29 20/09S | Anleihen | JPY | 0.17% |
US91282CAM38 | UNITED STATES 0.25 20-25 30/09S | Anleihen | USD | 0.17% |
US912810QC53 | UNITED STATES 4.50 09-39 15/08S | Anleihen | USD | 0.17% |
FR0012517027 | FRANCE 0.50 15-25 25/05A | Anleihen | EUR | 0.17% |
US91282CBA80 | UNITED STATES -23 15/12S | Anleihen | USD | 0.17% |
JP1103291D68 | JAPAN 0.80 13-23 20/06S | Anleihen | JPY | 0.17% |
GB0004893086 | UNITED KINGDOM 4.25 00-32 07/06S | Anleihen | GBP | 0.17% |
JP1051401K75 | JAPAN 0.1 19-24 20/06S | Anleihen | JPY | 0.17% |
US912810SA79 | UNITED STATES 3.00 18-48 15/02S | Anleihen | USD | 0.17% |
US912810SR05 | UNITED STATES 1.125 20-40 15/05S | Anleihen | USD | 0.17% |
US912810RH32 | UNITED STATES 3.125 14-44 15/08S | Anleihen | USD | 0.16% |
US912810RE01 | UNITED STATES 3.625 14-44 15/02S | Anleihen | USD | 0.16% |
JP1051471M45 | JAPAN 0.005 21-26 20/03S | Anleihen | JPY | 0.16% |
JP1103621M43 | JAPAN 0.10 21-31 20/03S | Anleihen | JPY | 0.16% |
US912810RG58 | UNITED STATES 3.375 14-44 15/05S | Anleihen | USD | 0.16% |
FR0010070060 | FRANCE 4.75 04-35 25/04A | Anleihen | EUR | 0.16% |
GB00B06YGN05 | UNITED KINGDOM 4.25 05-55 07/12S | Anleihen | GBP | 0.16% |
GB00BDRHNP05 | UK TSY 1.25 17-27 22/07S | Anleihen | GBP | 0.16% |
JP1051411KA2 | JAPAN 0.10 19-24 20/09S | Anleihen | JPY | 0.16% |
US912810QT88 | UNITED STATES 3.125 11-41 15/11S | Anleihen | USD | 0.16% |
US91282CAH43 | UNITED STATES 0.5 20-27 31/08S | Anleihen | USD | 0.16% |
GB00BTHH2R79 | UNITED KINGDOM 2.00 15-25 07/09S | Anleihen | GBP | 0.16% |
FR0013154044 | FRANCE 1.25 16-36 25/05A | Anleihen | EUR | 0.16% |
FR0013407236 | FRANCE 0.5 18-29 25/05A | Anleihen | EUR | 0.16% |
US91282CCG42 | UNITED STATES 0.25 21-24 15/06S | Anleihen | USD | 0.16% |
DE0001102341 | GERMANY 2.50 14-46 15/08A | Anleihen | EUR | 0.16% |
DE0001135481 | GERMANY 2.50 12-44 04/07A | Anleihen | EUR | 0.16% |
GB00B6RNH572 | UNITED KINGDOM 3.75 11-52 22/07S | Anleihen | GBP | 0.16% |
GB00BJMHB534 | ROYAUME UNI DE GRANDE 0.875 19-29 22/10S | Anleihen | GBP | 0.16% |
JP1051431L45 | JAPAN 0.10 20-25 20/03S | Anleihen | JPY | 0.16% |
JP1051421L13 | JAPAN 0.10 19-24 20/12S | Anleihen | JPY | 0.16% |
GB00BD0XH204 | UK GILT 1.75 17-58 22/07S | Anleihen | GBP | 0.16% |
US91282CCL37 | UNITED STATES 0.375 21-24 15/07S | Anleihen | USD | 0.16% |
GB00B84Z9V04 | UNITED KINGDOM 3.25 12-44 22/01S | Anleihen | GBP | 0.16% |
FR0013131877 | FRANCE 0.50 15-26 25/05A | Anleihen | EUR | 0.16% |
JP1051371JA0 | JAPAN (5 YEAR I 0.1000 18-23 20/09S | Anleihen | JPY | 0.16% |
GB00BFX0ZL78 | UK TSY 1.625 18-28 22/10S | Anleihen | GBP | 0.16% |
US912810RN00 | UNITED STATES 2.875 15-16 15/08S | Anleihen | USD | 0.15% |
US9128282N91 | US TREASURY 2.125 17-24 31/07S | Anleihen | USD | 0.15% |
US912810RB61 | UNITED STATES 2.875 13-43 15/05S | Anleihen | USD | 0.15% |
FR0013344751 | FRANCE 0.0 18-24 25/03A | Anleihen | EUR | 0.15% |
FR0010371401 | FRANCE 4.00 06-38 25/10A | Anleihen | EUR | 0.15% |
US91282CAK71 | UNITED STATES 0.125 20-23 15/09S | Anleihen | USD | 0.15% |
FR0013250560 | FRANCE 1.00 16-27 25/05A | Anleihen | EUR | 0.15% |
FR0011486067 | FRANCE 1.75 12-23 25/05A | Anleihen | EUR | 0.15% |
FR0013313582 | FRANCE 1.25 18-34 25/05A | Anleihen | EUR | 0.15% |
GB00BL68HH02 | UNITED KINGDOM 0.3750 20-30 22/10S | Anleihen | GBP | 0.15% |
US912810QW18 | UNITED STATES 3.00 12-42 15/05S | Anleihen | USD | 0.15% |
US912810QY73 | UNITED STATES 2.75 12-42 15/11S | Anleihen | USD | 0.15% |
US912828ZW33 | UNITED STATES 0.25 20-25 30/06S | Anleihen | USD | 0.15% |
US91282CAC55 | UNITED STATES 0.125 20-22 31/07S | Anleihen | USD | 0.15% |
US91282CAG69 | US TREASURY 0.125 20-22 31/08S | Anleihen | USD | 0.15% |
FR0011962398 | FRANCE 1.75 13-24 25/11A | Anleihen | EUR | 0.15% |
GB00BMGR2791 | UNITED KINGDOM 0.125 20-24 31/01S | Anleihen | GBP | 0.15% |
FR0010171975 | FRANCE 4.00 04-55 25/04A | Anleihen | EUR | 0.15% |
US9128286Z85 | UNITED STATES 1.75 19-24 30/06S | Anleihen | USD | 0.15% |
US912810QB70 | UNITED STATES 4.25 09-39 15/05S | Anleihen | USD | 0.15% |
US912810QU51 | UNITED STATES 3.125 12-42 15/02S | Anleihen | USD | 0.15% |
US91282CAP68 | UNITED STATES 0.125 20-23 15/10S | Anleihen | USD | 0.15% |
US912810QZ49 | UNITED STATES 3.125 13-43 15/02S | Anleihen | USD | 0.15% |
US912810RM27 | UNITED STATES 3.00 15-45 15/05S | Anleihen | USD | 0.15% |
US91282CBR16 | UNITED STATES 0.2521-24 15/03S | Anleihen | USD | 0.15% |
US912810RJ97 | UNITED STATES 3.00 14-44 15/11S | Anleihen | USD | 0.15% |
FR0013451507 | FRANCE 0.0000 19-29 25/11A | Anleihen | EUR | 0.15% |
GB00B6460505 | UNITED KINGDOM 4.25 10-40 07/12S | Anleihen | GBP | 0.15% |
FR0013508470 | FRANCE 0.00 20-26 25/02A | Anleihen | EUR | 0.15% |
JP1103271D13 | JAPAN 0.80 13-22 20/12S | Anleihen | JPY | 0.15% |
US912810RP57 | US TREASURY N/B 3.00 15-45 15/11S | Anleihen | USD | 0.15% |
US91282CAB72 | UNITED STATES 0.2500 20-25 31/07S | Anleihen | USD | 0.15% |
GB00BL68HG94 | UNITED KINGDOM 0.125 20-23 31/03S | Anleihen | GBP | 0.15% |
IT0001444378 | ITALY 6.00 00-31 01/05S | Anleihen | EUR | 0.15% |
US912828ZY98 | UNITED STATES 0.1250 20-23 15/07S | Anleihen | USD | 0.14% |
GB00BMGR2809 | UNITED KINGDOM 0.25 20-31 31/07S | Anleihen | GBP | 0.14% |
GB00B7Z53659 | UNITED KINGDOM 2.25 13-23 07/09S | Anleihen | GBP | 0.14% |
US912810QX90 | UNITED STATES 2.75 12-42 15/08S | Anleihen | USD | 0.14% |
US912810RX81 | UNITED STATES 3.00 17-47 15/05S | Anleihen | USD | 0.14% |
FR0013200813 | FRANCE 0.25 15-26 25/11A | Anleihen | EUR | 0.14% |
GB00BHBFH458 | UNITED KINGDOM 2.75 14-24 07/09S | Anleihen | GBP | 0.14% |
GB00B3KJDS62 | UK TREASURY STOCK 4.25 09-39 07/09S | Anleihen | GBP | 0.14% |
US912810RZ30 | US TREASURY NOTES 2.750 17-47 15/11S | Anleihen | USD | 0.14% |
GB00BFWFPL34 | UNITED KINGDOM GILT 1 18-24 22/04S | Anleihen | GBP | 0.14% |
JP1103321DC2 | JAPAN 0.60 13-23 20/12S | Anleihen | JPY | 0.14% |
US912828XX34 | UNITED STATES 2.00 17-24 30/06S | Anleihen | USD | 0.14% |
US9128286G05 | UNITED STATES 2.375 19-24 29/02S | Anleihen | USD | 0.14% |
US912810RK60 | UNITED STATES 2.50 15-45 15/02S | Anleihen | USD | 0.14% |
FR0011461037 | FRANCE 3.25 12-45 25/05A | Anleihen | EUR | 0.14% |
US912828Z526 | UNITED STATES 2.375 20-25 31/01S | Anleihen | USD | 0.14% |
US912810RV26 | UNITED STATES 3.00 17-47 15/02S | Anleihen | USD | 0.14% |
US912828YY08 | UNITED STATES 1.75 19-24 31/12S | Anleihen | USD | 0.14% |
FR0013404969 | FRANCE 1.50 18-50 25/05A | Anleihen | EUR | 0.14% |
US912810RU43 | UNITED STATES 2.875 16-46 15/11S | Anleihen | USD | 0.14% |
DE0001102432 | GERMANY 1.25 17-48 15/08A | Anleihen | EUR | 0.14% |
GB00B1VWPJ53 | UNITED KINGDOM 4.50 07-42 07/12S | Anleihen | GBP | 0.14% |
US912828ZC78 | UNITED STATES 1.125 20-25 28/02S | Anleihen | USD | 0.14% |
GB00BZB26Y51 | UK TREASURY GILT 1.75 16-37 07/09S | Anleihen | GBP | 0.14% |
GB0032452392 | UNITED KINGDOM 4.25 03-36 07/03S | Anleihen | GBP | 0.14% |
JP1201681K44 | JAPAN 0.4 19-39 20/03S | Anleihen | JPY | 0.14% |
US91282CAD39 | UNITED STATES 0.3750 20-27 31/07S | Anleihen | USD | 0.14% |
FR0012938116 | FRANCE 1.00 15-25 25/11A | Anleihen | EUR | 0.14% |
GB00BF0HZ991 | UNITED KINGDOM 0.75 17-23 22/07S | Anleihen | GBP | 0.14% |
US912828ZV59 | UNITED STATES 0.5 20-27 30/06S | Anleihen | USD | 0.14% |
GB00BFWFPP71 | UNITED KINGDOM GILT 1.75 18-49 22/01Q | Anleihen | GBP | 0.14% |
GB00BJQWYH73 | UNITED KINGDOM 1.25 20-41 22/10S | Anleihen | GBP | 0.14% |
GB00B16NNR78 | UNITED KINGDOM 4.25 06-27 07/12S | Anleihen | GBP | 0.14% |
US912828YF19 | UNITED STATES 1.50 19-22 15/09S | Anleihen | USD | 0.13% |
GB00B128DP45 | UNITED KINGDOM 4.25 06-46 07/12S | Anleihen | GBP | 0.13% |
GB00BL68HJ26 | UNITED KINGDOM 0.1250 20-26 30/01S | Anleihen | GBP | 0.13% |
IT0001278511 | ITALY 5.25 98-29 01/11S | Anleihen | EUR | 0.13% |
US912810RS96 | UNITED STATES 2.50 16-46 15/05S | Anleihen | USD | 0.13% |
IT0003934657 | ITALY 4.00 05-37 01/02S | Anleihen | EUR | 0.13% |
US912828ZF00 | UNITED STATES 0.50 20-25 31/03S | Anleihen | USD | 0.13% |
US912828R697 | UNITED STATES 1.625 16-23 31/05S | Anleihen | USD | 0.13% |
US912810RQ31 | UNITED STATES 2.50 16-46 15/02S | Anleihen | USD | 0.13% |
US912828YE44 | ETATS-UNIS D'AMERIQUE 1.25 19-24 31/08S | Anleihen | USD | 0.13% |
US912828YV68 | UNITED STATES 1.50 19-24 30/11S | Anleihen | USD | 0.13% |
FR0013257524 | FRANCE 2.00 17-48 25/05A | Anleihen | EUR | 0.13% |
US912828ZT04 | UNITED STATES 0.25 20-25 31/05S | Anleihen | USD | 0.13% |
US912828ZL77 | UNITED STATES 0.375 20-25 30/04S | Anleihen | USD | 0.13% |
ES00000121S7 | SPAIN 4.70 09-41 30/07A | Anleihen | EUR | 0.13% |
US912810RY64 | UNITED STATES 2.750 17-47 15/08S | Anleihen | USD | 0.13% |
GB00BMGR2916 | UNITED KINGDOM 0.625 20-35 31/07S | Anleihen | GBP | 0.13% |
ES0000012411 | SPAIN 5.75 01-32 30/07A | Anleihen | EUR | 0.13% |
US9128282W90 | WI TREASURY SEC. 1.875 17-22 30/09S | Anleihen | USD | 0.13% |
DE0001135275 | GERMANY 4.00 05-37 04/01A | Anleihen | EUR | 0.13% |
US9128286R69 | UNITED STATES 2.25 19-24 30/04S | Anleihen | USD | 0.13% |
US912828YM69 | UNITED STATES 1.5000 19-24 31/10S | Anleihen | USD | 0.13% |
FR0014002WK3 | FRANCE 0.00 21-31 25/11A | Anleihen | EUR | 0.13% |
GB00BYYMZX75 | UK TREASURY STOCK 2.50 15-65 22/07S | Anleihen | GBP | 0.13% |
US912828ZN34 | UNITED STATES 20-27 30/04S | Anleihen | USD | 0.13% |
US912828ZH65 | UNITED STATES 0.25 20-23 15/04S | Anleihen | USD | 0.13% |
GB00BMBL1G81 | UNITED KINGDOM 0.125 20-28 31/01S | Anleihen | GBP | 0.13% |
FR0013234333 | FRANCE 1.75 17-39 25/06A | Anleihen | EUR | 0.13% |
JP1300371C98 | JAPAN 1.90 12-42 20/09S | Anleihen | JPY | 0.13% |
US9128285D82 | UNITED STATES 2.875 18-23 30/09S | Anleihen | USD | 0.13% |
US912828ZE35 | UNITED STATES 0.625 20-27 31/03B | Anleihen | USD | 0.13% |
CA135087H722 | CANADA 2.00 17-51 01/12S | Anleihen | CAD | 0.13% |
US9128282S88 | UNITED STATES 1.625 17-22 31/08S | Anleihen | USD | 0.13% |
NL0010721999 | NETHERLANDS 2.75 14-47 15/01A | Anleihen | EUR | 0.12% |
US912828ZS21 | UNITED STATES 0.5 20-27 31/05S | Anleihen | USD | 0.12% |
US912828ZB95 | UNITED STATES 1.125 20-27 28/02S | Anleihen | USD | 0.12% |
DE0001135226 | GERMANY 4.75 03-34 04/07A | Anleihen | EUR | 0.12% |
US912828YK04 | UNITED STATES 1.375 19-22 15/10S | Anleihen | USD | 0.12% |
IT0004532559 | ITALY 5.00 09-40 01/09S | Anleihen | EUR | 0.12% |
ES0000012932 | SPAIN 4.20 05-37 31/01A | Anleihen | EUR | 0.12% |
GB0030880693 | UNITED KINGDOM 5.00 01-25 07/03S | Anleihen | GBP | 0.12% |
GB00B39R3707 | UNITED KINGDOM 4.25 08-49 07/12S | Anleihen | GBP | 0.12% |
GB00B00NY175 | UK TREASURY GILT STK 4.75 04-38 07/12S | Anleihen | GBP | 0.12% |
FR0010870956 | FRANCE 4.00 09-60 25/04A | Anleihen | EUR | 0.12% |
IT0004286966 | ITALY 5.00 07-39 01/08S | Anleihen | EUR | 0.12% |
US912828Z294 | UNITED STATES 1.50 20-23 15/01S | Anleihen | USD | 0.12% |
US9128285U08 | UNITED STATES 2.625 18-23 31/12S | Anleihen | USD | 0.12% |
US9128285P13 | UNITED STATES 2.875 18-23 30/11S | Anleihen | USD | 0.12% |
US912828ZX16 | UNITED STATES 0.1250 20-22 30/06S | Anleihen | USD | 0.12% |
GB00BFMCN652 | GRANDE BRETAGNE 1.625 18-71 22/10S | Anleihen | GBP | 0.12% |
FR0013283686 | FRANCE 0.00 17-23 25/03A | Anleihen | EUR | 0.12% |
US912810RT79 | UNITED STATES 2.25 16-46 15/08S | Anleihen | USD | 0.12% |
US912828Y610 | WI TREASURY SEC 2.7500 18-23 31/07S | Anleihen | USD | 0.12% |
US912828YW42 | UNITED STATES 1.6250 19-22 15/12S | Anleihen | USD | 0.12% |
GB00BDCHBW80 | UNITED KINGDOM 1.50 16-47 22/07S | Anleihen | GBP | 0.12% |
US9128284D91 | UNITED STATES 2.500 18-23 31/03S | Anleihen | USD | 0.12% |
US9128284L18 | WI TREASURY SEC. 2.750 18-23 30/04S | Anleihen | USD | 0.12% |
ES00000120N0 | SPAIN 4.90 07-40 30/07A | Anleihen | EUR | 0.12% |
DE0001102416 | ALLEMAGNE 0.25 17-27 15/02A | Anleihen | EUR | 0.11% |
JP1300321A34 | JAPAN -32- 2.30 10-40 20/03S | Anleihen | JPY | 0.11% |
JP1300341B39 | JAPAN 2.20 11-41 20/03S | Anleihen | JPY | 0.11% |
IT0005365165 | ITALY 3.00 19-29 01/02S | Anleihen | EUR | 0.11% |
US9128284S60 | WI TREASURY SEC 2.8750 18-23 31/05S | Anleihen | USD | 0.11% |
GB00B7L9SL19 | UNITED KINGDOM 1.75 12-22 07/09S | Anleihen | GBP | 0.11% |
US912828P386 | USA T NOTES 1.75 16-23 31/01S | Anleihen | USD | 0.11% |
IT0004889033 | ITALY 4.75 13-28 01/09S | Anleihen | EUR | 0.11% |
JP1300621K47 | JAPAN 0.50 19-49 20/03S | Anleihen | JPY | 0.11% |
JP1201501E99 | JAPAN 1.40 14-34 20/09S | Anleihen | JPY | 0.11% |
JP1300351B93 | JAPAN 35 2.00 11-12 20/09S | Anleihen | JPY | 0.11% |
US9128284U17 | WI TREASURY SEC. 2.625 18-23 30/06S | Anleihen | USD | 0.11% |
US9128284X55 | UNITED STATES 2.75 18-23 31/08S | Anleihen | USD | 0.11% |
BE0000304130 | BELGIUM 5.00 04-35 28/03A | Anleihen | EUR | 0.11% |
US912828ZU76 | UNITED STATES 0.25 20-23 15/06S | Anleihen | USD | 0.11% |
GB00BJLR0J16 | ROYAUME-UNI DE GRANDE 1.625 19-54 22/10S | Anleihen | GBP | 0.11% |
NL0009446418 | NETHERLANDS 3.75 10-42 15/01A | Anleihen | EUR | 0.11% |
IT0005366007 | ITALY 1.00 19-22 15/07S | Anleihen | EUR | 0.11% |
US912828ZD51 | UNITED STATES 0.5 20-23 15/03S | Anleihen | USD | 0.11% |
US912828YQ73 | UNITED STATES 1.625 19-26 31/10S | Anleihen | USD | 0.11% |
GB00BMBL1F74 | UNITED KINGDOM 0.625 20-50 22/10S | Anleihen | GBP | 0.11% |
DE0001102507 | GERMANY 0.0 20-30 15/08A | Anleihen | EUR | 0.11% |
JP1300361C33 | JAPAN 2.00 12-42 20/03S | Anleihen | JPY | 0.11% |
US9128285K26 | UNITED STATES 2.875 18-23 31/10S | Anleihen | USD | 0.11% |
US912810FT08 | UNITED STATES 4.50 06-36 15/02S | Anleihen | USD | 0.11% |
JP1300331A99 | JAPAN 2.00 10-40 20/09S | Anleihen | JPY | 0.11% |
DE0001135366 | GERMANY 4.75 08-40 04/07A | Anleihen | EUR | 0.11% |
US912828YU85 | UNITED STATES 1.625 19-26 30/11S | Anleihen | USD | 0.11% |
US912828Z781 | UNITED STATES 1.50 20-27 31/01S | Anleihen | USD | 0.11% |
US912828Y958 | UNITED STATES 1.875 19-26 31/07S | Anleihen | USD | 0.11% |
US9128285N64 | UNITED STATES 2.875 18-25 30/11S | Anleihen | USD | 0.11% |
US9128287C81 | UNITED STATES 1.75 19-22 15/07S | Anleihen | USD | 0.11% |
CA135087K940 | CANADA 0.50 20-25 01/09S | Anleihen | CAD | 0.11% |
IT0004513641 | ITALY 5.00 09-25 01/03S | Anleihen | EUR | 0.11% |
US9128282Y56 | UNITED STATES 2.125 17-24 30/09S | Anleihen | USD | 0.11% |
US9128286L99 | UNITED STATES 2.250 19-26 31/03S | Anleihen | USD | 0.11% |
IT0003256820 | ITALY 5.75 02-33 01/02S | Anleihen | EUR | 0.11% |
IT0005024234 | ITALY 3.50 14-30 01/03S | Anleihen | EUR | 0.11% |
JP1103351E98 | JAPAN -335- 0.50 14-24 20/09S | Anleihen | JPY | 0.10% |
US912828YX25 | UNITED STATES 1.75 19-26 31/12S | Anleihen | USD | 0.10% |
US912828YG91 | UNITED STATES OF AMER 1.625 19-26 30/09S | Anleihen | USD | 0.10% |
CA135087H987 | CANADA GVT 2.0 18.23 06/04S | Anleihen | CAD | 0.10% |
JP1103241C78 | JAPAN 0.80 12-22 20/06S | Anleihen | JPY | 0.10% |
GB00BNNGP668 | UNITED KINGDOM 0.375 21-26 22/10S | Anleihen | GBP | 0.10% |
IT0005340929 | ITALY 2.80 18-28 01/08S | Anleihen | EUR | 0.10% |
US9128286A35 | US T NOTES 2.625 19-26 31/01S | Anleihen | USD | 0.10% |
US9128287B09 | UNITED STATES 1.875 19-26 30/06S | Anleihen | USD | 0.10% |
FR0014001N46 | FRANCE 0.00 21-24 25/02A | Anleihen | EUR | 0.10% |
IT0004923998 | ITALY 4.75 13-44 01/09S | Anleihen | EUR | 0.10% |
ES00000128H5 | SPAIN 1.30 16-26 31/10A | Anleihen | EUR | 0.10% |
ES00000123C7 | SPAIN 5.90 11-26 30/07A | Anleihen | EUR | 0.10% |
US912828YD60 | UNITED STATES 1.375 19-26 31/08S | Anleihen | USD | 0.10% |
IT0003535157 | ITALY 5.00 03-34 01/08S | Anleihen | EUR | 0.10% |
BE0000320292 | BELGIUM 4.25 10-41 28/03A | Anleihen | EUR | 0.10% |
CA135087K379 | CANADA 1.25 19-30 01/06S | Anleihen | CAD | 0.10% |
FR0013480613 | FRANCE ZCP 290420 | Anleihen | EUR | 0.10% |
US9128284Z04 | UNITED STATES 2.75 18-25 31/08S | Anleihen | USD | 0.10% |
JP1201771M76 | JAPAN 0.40 21-41 20/06S | Anleihen | JPY | 0.10% |
JP1201741LA9 | JAPAN 0.40 20-40 20/09S | Anleihen | JPY | 0.10% |
JP1201731L76 | JAPAN 0.40 20-40 20/06S | Anleihen | JPY | 0.10% |
JP1201671K12 | JAPAN 0.5 18-38 20/12S | Anleihen | JPY | 0.10% |
US9128283P31 | UNITED STATES 2.25 17-24 31/12S | Anleihen | USD | 0.10% |
NL0000102234 | NETHERLANDS 4.00 05-37 15/01A | Anleihen | EUR | 0.10% |
DK0009922320 | DENMARK 4.50 07-39 15/11A | Anleihen | DKK | 0.10% |
ES0000012B88 | SPAIN 1.40 18-28 30/07A | Anleihen | EUR | 0.10% |
US912810QA97 | UNITED STATES 3.50 09-39 15/02S | Anleihen | USD | 0.10% |
DE0001102481 | GERMANY 0.00 19-50 15/08U | Anleihen | EUR | 0.10% |
ES00000122E5 | SPAIN 4.65 10-25 30/07A | Anleihen | EUR | 0.10% |
US9128282P40 | WI TREASURY SEC. 1.75 17-22 31/07S | Anleihen | USD | 0.10% |
ES00000124H4 | SPAIN 5.15 13-44 31/10A | Anleihen | EUR | 0.10% |
US91282CCN92 | UNITED STATES 0.125 21-23 31/07S | Anleihen | USD | 0.10% |
JP12009917C3 | JAPAN 2.10 07-27 20/12S | Anleihen | JPY | 0.10% |
ES0000012G34 | SPAIN (BON.ESTATADO) 1.25 20-30 31/10A | Anleihen | EUR | 0.10% |
ES00000127A2 | SPAIN 1.95 15-30 30/07A | Anleihen | EUR | 0.10% |
US912828R283 | UNITED STATES 1.625 16-23 30/04S | Anleihen | USD | 0.10% |
AU3TB0000135 | AUSTRALIA 4.75 11-27 21/04S | Anleihen | AUD | 0.10% |
DE0001102424 | GERMANY 0.50 17-27 15/08A | Anleihen | EUR | 0.10% |
GB00BD0PCK97 | UK TREASURY GILT 0.50 16-22 22/07S | Anleihen | GBP | 0.10% |
JP1201751M13 | JAPAN 0.50 21-40 20/12S | Anleihen | JPY | 0.10% |
JP1201761M45 | JAPAN 0.50 21-41 20/03S | Anleihen | JPY | 0.10% |
CA135087M276 | CANADA 1.50 21-31 01/06S | Anleihen | CAD | 0.10% |
US9128283Z13 | UNITED STATES 2.75 18-25 28/02S | Anleihen | USD | 0.10% |
JP1201411CC4 | JAPAN -141- 1.70 12-32 20/12S | Anleihen | JPY | 0.10% |
US9128283D01 | UNITED STATES 2.25 17-24 31/10S | Anleihen | USD | 0.10% |
JP1201401C92 | JAPAN 1.70 12-32 20/09S | Anleihen | JPY | 0.10% |
IT0005001547 | ITALY 3.75 14-24 01/09S | Anleihen | EUR | 0.09% |
US9128286F22 | US TN 2.50 19-26 28/02S | Anleihen | USD | 0.09% |
US912828T917 | US TREASURY NOTE 1.625 16-23 31/10S | Anleihen | USD | 0.09% |
US912828XZ81 | UNITED STATES 2.75 18-25 30/06S | Anleihen | USD | 0.09% |
US9128285J52 | UNITED STATES 3.00 18-25 31/10S | Anleihen | USD | 0.09% |
US912828Y792 | UNITED STATES 2.875 18-25 31/07S | Anleihen | USD | 0.09% |
BE0000291972 | BELGIUM OLO 5.50 98-28 28/03A | Anleihen | EUR | 0.09% |
US912828S927 | UNITED STATES 1.875 17-22 31/10S | Anleihen | USD | 0.09% |
IT0005367492 | ITALY 1.75 19-24 01/07S | Anleihen | EUR | 0.09% |
IT0004953417 | ITALY 4.50 13-24 01/03S | Anleihen | EUR | 0.09% |
ES0000012B39 | SPAIN 1.40 18-28 30/04A | Anleihen | EUR | 0.09% |
ES00000126B2 | SPAIN 2.75 14-24 31/10A | Anleihen | EUR | 0.09% |
JP1024281M91 | JAPAN 0.005 21-23 01/09S | Anleihen | JPY | 0.09% |
JP1201461D98 | JAPAN 1.70 13-33 20/09S | Anleihen | JPY | 0.09% |
US912828U576 | US T NOTES 2.125 16-23 30/11S | Anleihen | USD | 0.09% |
IT0005383309 | ITALY 1.35 19-30 01/04S | Anleihen | EUR | 0.09% |
JP1024271M85 | JAPAN 0.005 21-23 01/08S | Anleihen | JPY | 0.09% |
DE0001135176 | GERMANY 5.50 00-31 04/01A | Anleihen | EUR | 0.09% |
FR0011337880 | FRANCE 2.25 11-22 25/10A | Anleihen | EUR | 0.09% |
US9128285Z94 | WI TREASURY SEC 2.5 19-24 31/01S | Anleihen | USD | 0.09% |
DE0001135325 | GERMANY 4.25 07-39 04/07A | Anleihen | EUR | 0.09% |
DE0001102531 | GERMANY 0.00 21-31 15/02A | Anleihen | EUR | 0.09% |
ES00000128P8 | SPAIN 1.50 17-27 30/04A | Anleihen | EUR | 0.09% |
IT0005240350 | ITALY 2.45 16-33 01/09S | Anleihen | EUR | 0.09% |
JP1024221M37 | JAPAN 0.10 21-23 01/03S | Anleihen | JPY | 0.09% |
US9128285T35 | UNITED STATES 2.625 18-25 31/12S | Anleihen | USD | 0.09% |
AU0000101792 | AUSTRALIA 1.00 20-31 21/11S | Anleihen | AUD | 0.09% |
ES00000124C5 | SPAIN 5.15 13-28 31/10A | Anleihen | EUR | 0.09% |
US9128284R87 | US TREASURY NOTES 2.875 18-25 31/05S | Anleihen | USD | 0.09% |
IT0005170839 | ITALY 1.60 16-26 01/06S | Anleihen | EUR | 0.09% |
US9128284A52 | USA 2.625 18-23 28/02S | Anleihen | USD | 0.09% |
DE0001102408 | GERMANY 0.00 16-26 15/08U | Anleihen | EUR | 0.09% |
US912828XQ82 | UNITED STATES 2.00 15-22 31/07S | Anleihen | USD | 0.09% |
US912828Q293 | UNITED STATES 1.50 16-23 31/03S | Anleihen | USD | 0.09% |
US9128283C28 | UNITED STATES 2.0 17-22 31/10S | Anleihen | USD | 0.09% |
JP1024171LA4 | JAPAN 0.1 20-22 01/10S | Anleihen | JPY | 0.09% |
CA135087L443 | CANADA 0.50 20-30 01/12S | Anleihen | CAD | 0.09% |
IT0004644735 | ITALY 4.50 10-26 01/03S | Anleihen | EUR | 0.09% |
ES0000012B62 | SPAIN 0.35 18-23 30/07A | Anleihen | EUR | 0.09% |
CA135087L773 | CANADA 0.25 20-23 01/02S | Anleihen | CAD | 0.09% |
US912810PX00 | UNITED STATES 4.50 08-38 15/05S | Anleihen | USD | 0.09% |
DE0001102499 | GERMANY 0.00 20-30 15/02A | Anleihen | EUR | 0.09% |
ES0000012F76 | SPAIN 0.50 20-30 30/04A | Anleihen | EUR | 0.09% |
US912828S356 | UNITED STATES 1.375 16-23 30/06S | Anleihen | USD | 0.09% |
JP1201451D66 | JAPAN 1.70 13-33 20/06S | Anleihen | JPY | 0.09% |
AU000XCLWAI8 | AUSTRALIA 4.25 13-26 21/04S | Anleihen | AUD | 0.09% |
CA135087L369 | CANADA 0.25 20-22 01/11S | Anleihen | CAD | 0.09% |
US9128286X38 | US TREAS N/B 2.125 19-26 31/05S | Anleihen | USD | 0.09% |
ES00000127G9 | SPAIN 2.15 15-25 31/10A | Anleihen | EUR | 0.09% |
ES00000124W3 | SPAIN 3.80 14-24 30/04A | Anleihen | EUR | 0.09% |
JP1024151L81 | JAPON 0.10 20-22 01/08S | Anleihen | JPY | 0.09% |
US9128286S43 | UNITED STATES 2.375 19-26 30/04S | Anleihen | USD | 0.09% |
US912828V806 | USA TREASURY NOTES 2.25 17-24 31/01S | Anleihen | USD | 0.09% |
US9128283J70 | UNITED STATES 2.125 17-24 30/11S | Anleihen | USD | 0.09% |
ES0000012F43 | SPAIN 0.60 19-29 31/10A | Anleihen | EUR | 0.09% |
ES00000123U9 | SPAIN 5.40 13-23 31/01A | Anleihen | EUR | 0.09% |
DE0001135432 | GERMANY 3.25 10-42 04/07A | Anleihen | EUR | 0.09% |
JP1051351J37 | JAPON S.135 0.1 18-32 20/03S | Anleihen | JPY | 0.09% |
ES00000128C6 | SPAIN 2.90 16-46 31/10A | Anleihen | EUR | 0.09% |
JP1201511EC7 | JAPAN (20 YEAR ISS 1.20 14-34 20/12S | Anleihen | JPY | 0.09% |
US9128285C00 | UNITED STATES 3.00 18-25 30/09S | Anleihen | USD | 0.09% |
JP1103511J74 | JAPON 0.1 18-28 20/06S | Anleihen | JPY | 0.09% |
AU3TB0000168 | AUSTRALIA 3.25 13-25 21/04S | Anleihen | AUD | 0.09% |
FR0000571150 | FRANCE 6.00 94-25 25/10A | Anleihen | EUR | 0.09% |
IT0005094088 | ITALY 1.65 15-32 01/03S | Anleihen | EUR | 0.09% |
JP1201661JA3 | JAPAN (20 YEAR 0.7000 18-38 20/09S | Anleihen | JPY | 0.09% |
DE0001102382 | GERMANY 1.00 15-25 15/08A | Anleihen | EUR | 0.09% |
AU0000013740 | AUSTRALIA 2.50 18-30 21/05S | Anleihen | AUD | 0.09% |
ES0000012E69 | SPAIN 1.85 19-35 05/03A | Anleihen | EUR | 0.09% |
JP1201131990 | JAPAN 2.10 09-29 20/09S | Anleihen | JPY | 0.09% |
JP1024241M58 | JAPAN 0.005 21-23 01/05S | Anleihen | JPY | 0.09% |
JP1400131L54 | JAPON 0.50 20-60 20/03S | Anleihen | JPY | 0.09% |
AU000XCLWAU3 | AUSTRALIA 2.75 16-28 21/11S | Anleihen | AUD | 0.09% |
ES00000123X3 | SPAIN 4.40 13-23 31/10A | Anleihen | EUR | 0.09% |
ES0000012E51 | SPAIN 1.45 19-29 29/01A | Anleihen | EUR | 0.09% |
IT0005358806 | ITALY BUONI POLIENNA 3.35 19-35 01/06S | Anleihen | EUR | 0.09% |
US912828T263 | US TREASURY N/B 1.375 16-23 30/09S | Anleihen | USD | 0.09% |
US912828V236 | US TREASURY N/B 2.25 17-23 31/12S | Anleihen | USD | 0.08% |
JP1300301940 | JAPAN 30 2.30 09-39 20/03S | Anleihen | JPY | 0.08% |
ES0000012A89 | SPAIN 1.45 17-27 31/10A | Anleihen | EUR | 0.08% |
US912828W481 | UNITED STATES 2.125 17-24 29/02S | Anleihen | USD | 0.08% |
IT0005045270 | ITALY 2.50 14-24 01/12S | Anleihen | EUR | 0.08% |
ES0000011868 | SPAIN 6.00 98-29 31/01A | Anleihen | EUR | 0.08% |
DE0001102465 | GERMANY 0.25 19-29 11/01A | Anleihen | EUR | 0.08% |
US912828L575 | UNITED STATES 1.75 15-22 30/09S | Anleihen | USD | 0.08% |
IT0005413171 | ITALY 1.65 20-30 01/12S | Anleihen | EUR | 0.08% |
CA135087L690 | CANADA 0.25 20-24 01/04S | Anleihen | CAD | 0.08% |
DE0001102515 | GERMANY 0.00 20-35 15/05A | Anleihen | EUR | 0.08% |
IT0005321325 | ITALIE 2.95 17-38 01/09S | Anleihen | EUR | 0.08% |
BE0000334434 | BELGIUM 0.80 15-25 22/06A | Anleihen | EUR | 0.08% |
JP1201471DC6 | JAPAN 147 1.60 13-33 20/12S | Anleihen | JPY | 0.08% |
IT0004356843 | ITALY 4.75 08-23 01/08S | Anleihen | EUR | 0.08% |
JP1024211M21 | JAPAN 0.10 21-23 01/02S | Anleihen | JPY | 0.08% |
DE0001102374 | GERMANY 0.50 15-25 15/02A | Anleihen | EUR | 0.08% |
IT0005386245 | ITALY 0.3500 19-25 01/02S | Anleihen | EUR | 0.08% |
US9128284F40 | UNITED STATES 2.625 18-25 31/03S | Anleihen | USD | 0.08% |
JP1201691K75 | JAPON 0.30 19-39 20/06S | Anleihen | JPY | 0.08% |
AU3TB0000143 | AUSTRALIA 2.75 12-24 21/04S | Anleihen | AUD | 0.08% |
JP1024231M43 | JAPAN 0.005 21-23 01/04S | Anleihen | JPY | 0.08% |
IT0005273013 | ITALY 3.45 17-48 01/03S | Anleihen | EUR | 0.08% |
JP1024291MA8 | JAPAN 2 YEAR ISSUE 2.0 21-23 01/10S | Anleihen | JPY | 0.08% |
DE0001102523 | GERMANY 0.00 20-27 15/11U | Anleihen | EUR | 0.08% |
JP1024161L97 | JAPAN 0.10 20-22 01/09S | Anleihen | JPY | 0.08% |
JP1300711M79 | JAPAN 0.70 21-51 20/06S | Anleihen | JPY | 0.08% |
US912828X703 | UNITED STATES 2.00 17-24 30/04S | Anleihen | USD | 0.08% |
DE0001102333 | GERMANY 1.75 14-24 15/02A | Anleihen | EUR | 0.08% |
US9128283V09 | USA TREASURY BONDS 2.5 18-25 31/01S | Anleihen | USD | 0.08% |
JP13002918A0 | JAPAN 029 JGB 2.40 08-38 20/09S | Anleihen | JPY | 0.08% |
ES0000012F92 | SPAIN 0.00 20-25 31/01U | Anleihen | EUR | 0.08% |
DE0001102390 | GERMANY 0.50 16-26 15/02A | Anleihen | EUR | 0.08% |
ES00000128E2 | SPAIN 3.45 16-66 30/07A | Anleihen | EUR | 0.08% |
JP1201491E67 | JAPAN GOVT 149 1.50 14-34 20/06S | Anleihen | JPY | 0.08% |
JP1201231AC0 | JAPAN 2.10 11-30 20/12S | Anleihen | JPY | 0.08% |
ES00000127Z9 | SPAIN 1.95 16-26 30/04A | Anleihen | EUR | 0.08% |
JP13003119A4 | JAPAN 031 JGB 2.20 09-39 20/09S | Anleihen | JPY | 0.08% |
DE0001102457 | GERMANY 0.25 18-28 15/08A | Anleihen | EUR | 0.08% |
DE0001102440 | GERMANY 0.5 18-28 15/02A | Anleihen | EUR | 0.08% |
JP1201481E36 | JAPAN 1.50 14-34 20/03S | Anleihen | JPY | 0.08% |
IT0005437147 | ITALY 0.00 -26 01/04U | Anleihen | EUR | 0.08% |
JP12009216C0 | JAPAN 2.10 06-26 20/12S | Anleihen | JPY | 0.08% |
IT0005422891 | ITALY 0.90 20-31 01/04S | Anleihen | EUR | 0.08% |
JP1201341C38 | JAPAN NO 134 1.80 12-32 20/03S | Anleihen | JPY | 0.08% |
JP1201551FC0 | JAPAN 1.00 15-35 20/12S | Anleihen | JPY | 0.08% |
JP1300691M16 | JAPAN 0.70 21-50 20/12S | Anleihen | JPY | 0.08% |
JP1024191LC8 | JAPAN 0.1 20-22 01/12S | Anleihen | JPY | 0.08% |
JP1024251M63 | JAPAN (2 YEAR I 0.0050 21-23 01/06S | Anleihen | JPY | 0.08% |
JP1201171A43 | JAPAN (20 YEAR ISSUE 2.10 10-30 20/03S | Anleihen | JPY | 0.08% |
DE0001102564 | GERMANY 0.00 21-31 15/08A | Anleihen | EUR | 0.08% |
DE0001135473 | GERMANY 1.75 12-22 04/07A | Anleihen | EUR | 0.08% |
IT0005083057 | ITALY 3.25 14-46 01/09S | Anleihen | EUR | 0.08% |
US912828XW50 | WI TREASURY SEC. 1.75 17-22 30/06A | Anleihen | USD | 0.08% |
DE0001102473 | BUNDESREPUB. DE 0.0000 19-29 15/08A | Anleihen | EUR | 0.08% |
ES00000128Q6 | SPAIN 2.35 17-33 30/07A | Anleihen | EUR | 0.08% |
AU000XCLWAX7 | COMMONWLTH BANK AUSTR 2.75 17-29 21/11S | Anleihen | AUD | 0.08% |
JP1103301D90 | JAPAN 0.80 13-23 20/09S | Anleihen | JPY | 0.08% |
AU3TB0000150 | AUSTRALIA 3.25 12-29 21/04S | Anleihen | AUD | 0.08% |
JP1300671L78 | JAPAN 0.60 20-50 20/06S | Anleihen | JPY | 0.08% |
ES0000012F84 | SPAIN 0.00 20-23 30/04A | Anleihen | EUR | 0.08% |
IT0001174611 | ITALY BTP 6.50 97-27 01/11S | Anleihen | EUR | 0.08% |
GB0002404191 | UK TREASURY STOCK 6.00 98-28 07/12S | Anleihen | GBP | 0.08% |
ES00000121G2 | SPAIN 4.80 08-24 31/01A | Anleihen | EUR | 0.08% |
JP1201651J76 | JAPON 0.5 18-38 20/06S | Anleihen | JPY | 0.08% |
JP1024261M79 | JAPAN 0.005 21-23 01/07S | Anleihen | JPY | 0.08% |
JP1201521F37 | JAPAN (20 YEAR ISSUE) 1.20 15-35 20/03S | Anleihen | JPY | 0.08% |
DE0001141828 | GERMANY 0.00 20-25 10/10A | Anleihen | EUR | 0.08% |
JP1300281845 | JAPAN 028 JGB 2.50 08-38 20/03S | Anleihen | JPY | 0.08% |
JP1201281B64 | JAPAN GOVT 1.90 11-31 20/06S | Anleihen | JPY | 0.08% |
JP1300151485 | JAPAN 015 JGB 2.50 04-34 20/06S | Anleihen | JPY | 0.08% |
JP1103451GC0 | JAPAN 0.10 16-26 20/12S | Anleihen | JPY | 0.07% |
IT0005323032 | ITALY 2.00 18-28 01/02S | Anleihen | EUR | 0.07% |
AU0000083768 | AUSTRALIA 0.25 19-24 21/11S | Anleihen | AUD | 0.07% |
IT0005090318 | ITALY 1.50 15-25 01/06S | Anleihen | EUR | 0.07% |
DE0001102556 | GERMANY 0.00 21-28 15/11A | Anleihen | EUR | 0.07% |
JP1024181LB1 | JAPAN (2 YEAR I 0.1000 20-22 01/11S | Anleihen | JPY | 0.07% |
CA135087L518 | CANADA 0.25 20-26 01/03S | Anleihen | CAD | 0.07% |
AU0000047003 | AUSTRALIA 1.50 19-31 21/06S | Anleihen | AUD | 0.07% |
NL0010071189 | NETHERLANDS 2.50 12-33 15/01A | Anleihen | EUR | 0.07% |
US9128284M90 | UNITED STATES 2.875 18-25 30/04S | Anleihen | USD | 0.07% |
GB00BMBL1D50 | UNITED KINGDOM 0.50 20-61 22/10S | Anleihen | GBP | 0.07% |
IT0005449969 | ITALY 0.95 21-31 01/12S | Anleihen | EUR | 0.07% |
US9128282D10 | UNITED STATES 1.375 16-23 31/08S | Anleihen | USD | 0.07% |
ES0000012G26 | SPAIN 0.80 20-27 30/07A | Anleihen | EUR | 0.07% |
JP1024201M15 | JAPAN 0.10 21-23 01/01S | Anleihen | JPY | 0.07% |
DE0001141802 | GERMANY 0.00 19-24 18/10A | Anleihen | EUR | 0.07% |
US9128286Y11 | UNITED STATES 1.75 19-22 15/06S | Anleihen | USD | 0.07% |
IT0005127086 | ITALY 2.00 15-25 01/12S | Anleihen | EUR | 0.07% |
DE0001141794 | GERMANY 0.00 19-24 25/01A | Anleihen | EUR | 0.07% |
AU0000087454 | AUSTRALIA 1.00 20-30 21/12S | Anleihen | AUD | 0.07% |
IT0005215246 | ITALY 0.65 16-23 15/10S | Anleihen | EUR | 0.07% |
AU3TB0000101 | AUSTRALIA 5.50 11-23 21/04S | Anleihen | AUD | 0.07% |
IT0005363111 | BUONI POLIENNAL 3.8500 18-49 01/09S | Anleihen | EUR | 0.07% |
JP1201621H91 | JAPON 0.60 17-37 20/09S | Anleihen | JPY | 0.07% |
JP1201701KA5 | JAPAN TREASURY BONDS 0.3 19-39 20/09S | Anleihen | JPY | 0.07% |
JP1201571G68 | JAPAN 0.20 16-36 20/06S | Anleihen | JPY | 0.07% |
JP1300681LA7 | JAPAN 0.60 20-50 20/09S | Anleihen | JPY | 0.07% |
JP1201301B94 | JAPAN 1.80 11-31 20/09S | Anleihen | JPY | 0.07% |
IT0005419848 | BUONI POLIENNAL 0.5000 20-26 01/02S | Anleihen | EUR | 0.07% |
JP1103331E36 | JAPAN 0.60 14-24 20/03S | Anleihen | JPY | 0.07% |
JP1201721L45 | JAPAN 0.40 20-40 20/03S | Anleihen | JPY | 0.07% |
JP1201711L13 | JAPAN 0.30 19-39 20/12S | Anleihen | JPY | 0.07% |
DE0001135069 | GERMANY 5.625 98-28 04/01A | Anleihen | EUR | 0.07% |
IT0005408502 | ITALY 1.8500 20-25 01/07S | Anleihen | EUR | 0.07% |
ES00000126Z1 | SPAIN 1.60 15-25 30/04A | Anleihen | EUR | 0.07% |
JP1103341E67 | JAPAN -334- 0.60 14-24 20/06S | Anleihen | JPY | 0.07% |
FR0013515806 | FRANCE 0.50 20-40 25/05A | Anleihen | EUR | 0.07% |
ES0000012B47 | SPAIN 2.70 18-48 31/10A | Anleihen | EUR | 0.07% |
AU000XCLWAR9 | AUSTRALIA 2.25 15-28 21/05S | Anleihen | AUD | 0.07% |
CA135087L286 | CANADA 0.25 20-22 01/08S | Anleihen | CAD | 0.07% |
JP1400051C51 | JAPAN 2.00 12-52 20/03S | Anleihen | JPY | 0.07% |
IT0005436693 | ITALY 0.6 21-31 01/08S | Anleihen | EUR | 0.07% |
JP1103441G98 | JAPAN 0.10 16-26 20/09S | Anleihen | JPY | 0.07% |
DE0001102358 | GERMANY 1.50 14-24 15/05A | Anleihen | EUR | 0.07% |
DE0001141810 | GERMANY 0.00 20-25 11/04A | Anleihen | EUR | 0.07% |
JP1400111J52 | JAPON 0.8 18-58 20/03S | Anleihen | JPY | 0.07% |
JP1300581J30 | JAPON T BILL 0.8 18-48 20/03S | Anleihen | JPY | 0.07% |
AU0000095457 | AUSTRALIA 0.25 20-25 21/11A | Anleihen | AUD | 0.07% |
NL0011220108 | NETHERLANDS 0.25 15-25 15/07A | Anleihen | EUR | 0.07% |
IT0005370306 | ITALY TB 2.10 19-26 15/07S | Anleihen | EUR | 0.07% |
JP1201641J38 | JAPAN 0.50 18-38 20/03S | Anleihen | JPY | 0.07% |
JP1400101H56 | JAPON 0.90 17-57 20/03S | Anleihen | JPY | 0.07% |
IT0005416570 | ITALY 0.95 20-27 15/09S | Anleihen | EUR | 0.07% |
JP1300391D69 | JAPAN GOVT 039 1.90 13-43 20/06S | Anleihen | JPY | 0.07% |
JP1201101944 | JAPAN 110 JGB 2.10 09-29 20/03S | Anleihen | JPY | 0.07% |
JP1400041B55 | JAPAN 2.20 11-51 20/03S | Anleihen | JPY | 0.07% |
IT0005210650 | ITALY 1.25 16-26 01/12S | Anleihen | EUR | 0.07% |
IT0005162828 | ITALY 2.70 16-47 01/03S | Anleihen | EUR | 0.07% |
IT0005390874 | BUONI POLIENNAL 0.8500 19-27 15/01S | Anleihen | EUR | 0.07% |
DE0001102366 | GERMANY 1.00 14-24 15/08A | Anleihen | EUR | 0.07% |
IT0005344335 | ITALY 2.45 18-23 01/08S | Anleihen | EUR | 0.07% |
IT0005327306 | ITALIE 1.45 25 15-03S | Anleihen | EUR | 0.07% |
AU000XCLWAQ1 | AUSTRALIA 2.75 16-27 21/11S | Anleihen | AUD | 0.07% |
IT0005172322 | ITALY BTP 0.95 16-23 15/03S | Anleihen | EUR | 0.07% |
DE0001102325 | GERMANY 2.00 13-23 15/08A | Anleihen | EUR | 0.07% |
DE0001102549 | GERMANY 0.00 21-36 15/05A | Anleihen | EUR | 0.07% |
JP1103461H35 | JAPON 0.10 17-27 20/03S | Anleihen | JPY | 0.07% |
JP1103261CC2 | JAPAN 326 0.70 12-22 20/12S | Anleihen | JPY | 0.07% |
ES0000012H41 | SPAIN 0.1 21-31 30/04A | Anleihen | EUR | 0.07% |
JP1201001839 | JAPAN JGB (20YR ISS) 2.20 08-28 20/03S | Anleihen | JPY | 0.07% |
NL0011819040 | NETHERLANDS 0.50 16-26 15/07A | Anleihen | EUR | 0.07% |
DE0001141844 | GERMANY 0.00 21-26 09/10A | Anleihen | EUR | 0.07% |
IT0004898034 | ITALY 4.50 13-23 01/05S | Anleihen | EUR | 0.07% |
NL0012650469 | NETHERLANDS 0.00 17-24 15/01U | Anleihen | EUR | 0.07% |
JP1300701M48 | JAPAN 0.70 21-51 20/03S | Anleihen | JPY | 0.07% |
JP1400121K57 | JAPAN 0.50 19-59 20/03S | Anleihen | JPY | 0.07% |
JP1201631HC6 | JAPAN 0.60 17-37 20/12S | Anleihen | JPY | 0.07% |
JP1201591GC4 | JAPAN 0.60 16-36 20/12S | Anleihen | JPY | 0.07% |
JP1200951760 | JAPAN 095 JGB 2.30 07-27 20/06S | Anleihen | JPY | 0.07% |
IT0005246340 | ITALY 1.85 17-24 15/05S | Anleihen | EUR | 0.07% |
IT0005274805 | ITALY 2.05 17-27 01/08S | Anleihen | EUR | 0.06% |
DE0001104859 | BUNDESSCHATZANW 0.00 21-23 15/09A | Anleihen | EUR | 0.06% |
JP1300261748 | JAPAN 2.40 07-37 20/03S | Anleihen | JPY | 0.06% |
AU0000106411 | AUSTRALIA 0.50 20-26 21/09S | Anleihen | AUD | 0.06% |
IT0005282527 | ITALY 1.45 17-24 15/10S | Anleihen | EUR | 0.06% |
DE0001141836 | GERMANY 0.00 21-26 10/04A | Anleihen | EUR | 0.06% |
JP1201431D38 | JAPAN -143- 1.60 13-33 20/03S | Anleihen | JPY | 0.06% |
ES0000012G00 | SPAIN 1.00 20-50 31/10A | Anleihen | EUR | 0.06% |
IT0005345183 | REPUBLIQUE ITALIENNE 2.5 18-25 15/11S | Anleihen | EUR | 0.06% |
CA135087L856 | CANADA 0.25 21-23 01/05S | Anleihen | CAD | 0.06% |
JP1200941746 | JAPAN 094 JGB 2.10 07-27 20/03S | Anleihen | JPY | 0.06% |
IT0005240830 | ITALY 2.20 17-27 01/06S | Anleihen | EUR | 0.06% |
US912810PT97 | UNITED STATES 4.75 07-37 15/02S | Anleihen | USD | 0.06% |
IT0005398406 | BUONI POLIENNALI TES 2.45 20-50 01/09S | Anleihen | EUR | 0.06% |
BE0000337460 | BELGIUM 1.00 16-26 22/06A | Anleihen | EUR | 0.06% |
NL0010418810 | NETHERLANDS 1.75 13-23 15/07A | Anleihen | EUR | 0.06% |
GB00BNNGP775 | UNITED KINGDOM 0.875 21-46 31/01S | Anleihen | GBP | 0.06% |
BE0000347568 | BELGIUM 0.9 19-29 22/06A | Anleihen | EUR | 0.06% |
JP1400091G59 | JAPAN 0.40 16-56 20/03S | Anleihen | JPY | 0.06% |
JP1201531F68 | JAPAN N.153 1.30 15-35 20/06S | Anleihen | JPY | 0.06% |
IT0005403396 | ITALY 0.95 20-30 01/08S | Anleihen | EUR | 0.06% |
JP1300141445 | JAPAN 014 JGB 2.40 04-34 20/03S | Anleihen | JPY | 0.06% |
JP1200901690 | JAPAN 090 JGB 2.20 06-26 20/09S | Anleihen | JPY | 0.06% |
BE0000335449 | BELGIUM 1.00 15-31 22/06A | Anleihen | EUR | 0.06% |
IT0001086567 | ITALY 7.25 96-26 01/11S | Anleihen | EUR | 0.06% |
US912810FM54 | UNITED STATES 6.25 99-30 15/05S | Anleihen | USD | 0.06% |
CA135087L930 | CANADA 1.00 21-26 01/09S | Anleihen | CAD | 0.06% |
JP1300381D38 | JAPAN 1.80 13-43 20/03S | Anleihen | JPY | 0.06% |
US912810FP85 | UNITED STATES 5.375 01-31 15/02S | Anleihen | USD | 0.06% |
JP1201601H38 | JAPAN 160 0.70 17-37 20/03S | Anleihen | JPY | 0.06% |
JP1201391C86 | JAPAN GOVT 139 1.60 12-32 20/06S | Anleihen | JPY | 0.06% |
JP13002717A6 | JAPAN 027 JGB 2.50 07-37 20/09S | Anleihen | JPY | 0.06% |
JP1201541F90 | JAPAN 154 1.20 15-35 20/09S | Anleihen | JPY | 0.06% |
US912810PU60 | UNITED STATES 5.00 07-37 15/05S | Anleihen | USD | 0.06% |
IT0005377152 | ITALY 3.10 19-40 01/03S | Anleihen | EUR | 0.06% |
AU000XCLWAW9 | AUSTRALIA 2.25 17-22 21/11S | Anleihen | AUD | 0.06% |
JP1201051891 | JAPAN 105 JGB 2.10 08-28 20/09S | Anleihen | JPY | 0.06% |
IT0005413684 | ITALY 0.30 20-23 15/08S | Anleihen | EUR | 0.06% |
FR0013154028 | FRANCE 1.75 15-66 25/05A | Anleihen | EUR | 0.06% |
IT0005433690 | ITALY 0.25 21-28 15/03S | Anleihen | EUR | 0.06% |
ES0000012G42 | SECRETAR A GENERAL 1.2 20-40 31/10A | Anleihen | EUR | 0.06% |
JP1300611K15 | JAPAN 0.70 18-48 20/12S | Anleihen | JPY | 0.06% |
IT0005445306 | ITALY 0.5 21-28 15/07S | Anleihen | EUR | 0.06% |
US912828XG01 | UNITED STATES 2.125 15-22 30/06S | Anleihen | USD | 0.06% |
JP1051361J76 | JAPAN 0.1 18-23 20/06S | Anleihen | JPY | 0.06% |
DE0001102317 | GERMANY 1.50 13-23 15/05U | Anleihen | EUR | 0.06% |
BE0000345547 | BELGIUM 0.80 18-28 22/06A | Anleihen | EUR | 0.06% |
JP1300601JA9 | JAPAN (30 YEAR 0.9000 18-48 20/09S | Anleihen | JPY | 0.06% |
JP1300591J79 | JAPON 0.7 18-48 20/06S | Anleihen | JPY | 0.06% |
JP1300421E39 | JAPAN 42 1.70 14-44 20/03S | Anleihen | JPY | 0.06% |
AU0000075681 | AUSTRALIA 1.25 20-32 21/05S | Anleihen | AUD | 0.06% |
NL0015031501 | NETHERLANDS 0.00 20-27 15/01A | Anleihen | EUR | 0.06% |
JP1201121975 | JAPAN 2.10 09-29 20/06S | Anleihen | JPY | 0.06% |
JP1103481H98 | JAPAN -348- 0.10 17-27 20/09S | Anleihen | JPY | 0.06% |
NL0012818504 | ROYAUME PAYS-BAS 0.75 18-28 15/07A | Anleihen | EUR | 0.06% |
NL0012171458 | NETHERLANDS 0.75 17-27 15/07A | Anleihen | EUR | 0.06% |
NL0000102317 | NETHERLANDS 5.50 98-28 15/01A | Anleihen | EUR | 0.06% |
DE0001135499 | GERMANY 1.50 12-22 04/09A | Anleihen | EUR | 0.06% |
NL0010733424 | NETHERLANDS 2.00 14-24 15/07A | Anleihen | EUR | 0.06% |
JP1201581G90 | JAPAN -158- 0.50 16-36 20/09S | Anleihen | JPY | 0.06% |
JP1201441D44 | JAPAN -144- JGB 1.50 13-33 20/03S | Anleihen | JPY | 0.06% |
JP1201331C14 | JAPAN GOVT 133 1.80 11-31 20/12S | Anleihen | JPY | 0.06% |
US912810PW27 | UNITED STATES 4.375 08-38 15/02S | Anleihen | USD | 0.06% |
JP1300631K78 | JAPAN 0.40 19-49 20/06S | Anleihen | JPY | 0.06% |
IT0005405318 | ITALY 0.60 20-23 15/06S | Anleihen | EUR | 0.06% |
DE0001141786 | BUNDSOBLIGATION 0.0 18-23 13/10A | Anleihen | EUR | 0.06% |
DE0001135044 | GERMANY 6.50 97-27 04/07A | Anleihen | EUR | 0.06% |
JP1300641KA3 | JAPAN TREASURY BONDS 0.4 19-49 20/09S | Anleihen | JPY | 0.06% |
BE0000332412 | BELGIUM 2.60 14-24 22/06A | Anleihen | EUR | 0.06% |
BE0000331406 | BELGIUM 3.75 13-45 22/06A | Anleihen | EUR | 0.06% |
JP1300521G93 | JAPAN 0.50 16-46 20/09S | Anleihen | JPY | 0.06% |
ES0000012I32 | SPAIN 0.5 21-31 31/10A | Anleihen | EUR | 0.06% |
JP1300661L47 | JAPAN 0.4 20-50 20/03S | Anleihen | JPY | 0.06% |
ES0000012H33 | SPAIN 0.00 21-24 31/05A | Anleihen | EUR | 0.06% |
DE0001141778 | ALLEMAGNE 0.00 18-23 14/04A | Anleihen | EUR | 0.06% |
DE0001104834 | GERMANY 0.00 21-23 10/03A | Anleihen | EUR | 0.06% |
CA135087G732 | CANADA 1.00 17-22 01/09S | Anleihen | CAD | 0.06% |
JP1200971792 | JAPAN 2.20 07-27 20/09S | Anleihen | JPY | 0.06% |
JP1103401F97 | JAPAN 0.40 15-25 20/09S | Anleihen | JPY | 0.06% |
ES0000012G91 | SPAIN 0.00 20-26 31/01A | Anleihen | EUR | 0.06% |
JP1103391F65 | JAPAN 0.40 15-25 20/06S | Anleihen | JPY | 0.05% |
ES0000012E85 | SPAIN 0.25 19-24 30/07A | Anleihen | EUR | 0.05% |
BE0000352618 | BELGIUM 0.00 21-31 22/10U | Anleihen | EUR | 0.05% |
DE0001104842 | GERMANY 0.00 21-23 16/06A | Anleihen | EUR | 0.05% |
GB00BLH38158 | UNITED KINGDOM 1.250 21-51 31/07S | Anleihen | GBP | 0.05% |
IT0005325946 | ITALY 0.95 18-23 01/03S | Anleihen | EUR | 0.05% |
BE0000325341 | BELGIUM 4.25 12-22 28/09A | Anleihen | EUR | 0.05% |
JP1300411DC2 | JAPAN 041 1.70 13-43 20/12S | Anleihen | JPY | 0.05% |
JP1200881660 | JAPAN GOVT 88 2.30 06-26 20/06S | Anleihen | JPY | 0.05% |
CA135087H490 | CANADIAN GOVERNMEN 1.75 17-23 01/03S | Anleihen | CAD | 0.05% |
ES0000012A97 | SPAIN 0.45 17-22 31/10A | Anleihen | EUR | 0.05% |
JP1201211A94 | JAPAN 121 1.90 10-30 20/09S | Anleihen | JPY | 0.05% |
JP1201261B43 | JAPAN 2.00 11-31 20/03S | Anleihen | JPY | 0.05% |
JP1201781MA3 | JAPAN (20 YEAR 0.5000 21-41 20/09S | Anleihen | JPY | 0.05% |
JP1200931739 | JAPAN 93 2.00 07-27 20/03S | Anleihen | JPY | 0.05% |
ES0000012I08 | SPAIN 0.00 21-28 31/01A | Anleihen | EUR | 0.05% |
JP1103501J35 | JAPAN 0.10 18-28 20/03S | Anleihen | JPY | 0.05% |
JP1201611H69 | JAPAN 0.60 17-37 20/06S | Anleihen | JPY | 0.05% |
IT0005421703 | ITALY 1.80 20-41 01/03S | Anleihen | EUR | 0.05% |
JP1300541H31 | JAPAN 54 0.80 17-47 20/03S | Anleihen | JPY | 0.05% |
IT0004848831 | ITALY 5.50 12-22 01/11S | Anleihen | EUR | 0.05% |
JP1200721494 | JAPAN 072 JGB 2.10 04-24 20/09S | Anleihen | JPY | 0.05% |
JP12010618A8 | JAPAN 2.20 08-28 20/09S | Anleihen | JPY | 0.05% |
IT0005402117 | ITALY 1.45 20-36 01/03S | Anleihen | EUR | 0.05% |
JP1103491HC4 | JAPAN 0.10 17-27 20/12S | Anleihen | JPY | 0.05% |
JP12011419C6 | JAPAN GOVT 2.1 09-29 20/12S | Anleihen | JPY | 0.05% |
GB00BM8Z2S21 | UNITED KINGDOM 0.8750 21-33 31/07S | Anleihen | GBP | 0.05% |
IT0005433195 | ITALY 0.95 21-37 01/03S | Anleihen | EUR | 0.05% |
JP1024131L60 | JAPAN 0.1 20-22 01/06S | Anleihen | JPY | 0.05% |
JP1300181540 | JAPAN 2.30 05-35 20/03S | Anleihen | JPY | 0.05% |
JP1103641MA8 | JAPAN10 YEAR ISSUE 0.1 21-31 20/09S | Anleihen | JPY | 0.05% |
JP1051331H91 | JAPAN -133- 0.10 17-22 20/09S | Anleihen | JPY | 0.05% |
IT0004801541 | ITALY 5.50 12-22 01/09S | Anleihen | EUR | 0.05% |
JP1201371C64 | JAPAN 1.70 12-32 20/06S | Anleihen | JPY | 0.05% |
JP1201321BC7 | JAPAN 132 1.70 11-31 20/12S | Anleihen | JPY | 0.05% |
JP1051321H69 | JAPAN 132 0.10 17-22 20/06S | Anleihen | JPY | 0.05% |
JP1300651L15 | JAPAN 0.40 19-49 20/12S | Anleihen | JPY | 0.05% |
IT0005135840 | ITALY BTP 1.45 15-22 15/09S | Anleihen | EUR | 0.05% |
JP1400031A58 | JAPAN 2.20 10-50 20/03S | Anleihen | JPY | 0.05% |
DK0009923807 | DENMARK 0.5 19-29 15/11A | Anleihen | DKK | 0.05% |
JP1201161A37 | JAPAN 116 JGB 2.20 10-30 20/03S | Anleihen | JPY | 0.05% |
IT0005425233 | ITALY 1.70 20-51 01/09S | Anleihen | EUR | 0.05% |
US912810ET17 | UNITED STATES 7.625 95-25 15/02S | Anleihen | USD | 0.05% |
FR0013479102 | FRANCE 20-23 25/02U | Anleihen | EUR | 0.05% |
AU3TB0000051 | AUSTRALIA 5.75 10-22 15/07S | Anleihen | AUD | 0.05% |
JP1103471H66 | JAPON 0.10 17-27 20/06S | Anleihen | JPY | 0.05% |
JP1201561G37 | JAPAN 0.40 16-36 20/03S | Anleihen | JPY | 0.05% |
DE0001104826 | GERMANY 0.00 20-22 15/12A | Anleihen | EUR | 0.05% |
DE0001141760 | GERMANY 0.00 17-22 07/10U | Anleihen | EUR | 0.05% |
BE0000349580 | BELGIUM 0.1000 20-30 22/06A | Anleihen | EUR | 0.05% |
IT0005177909 | ITALY 2.25 16-36 01/09S | Anleihen | EUR | 0.05% |
JP1300501G30 | JAPAN 50 0.80 16-46 20/03S | Anleihen | JPY | 0.05% |
US912828P790 | UNITED STATES 1.50 16-23 28/02S | Anleihen | USD | 0.05% |
BE0000328378 | BELGIUM 2.25 13-23 22/06A | Anleihen | EUR | 0.05% |
JP1300571HC4 | JAPAN 57 0.80 17-47 20/12S | Anleihen | JPY | 0.05% |
US912810EY02 | UNITED STATES 2.375 19-49 15/11S | Anleihen | USD | 0.05% |
JP1300561H93 | JAPON 0.80 17-47 20/09S | Anleihen | JPY | 0.05% |
JP1051341HC3 | JAPAN 0.10 17-22 20/12S | Anleihen | JPY | 0.05% |
JP1300431E60 | JAPAN 1.70 14-44 20/06S | Anleihen | JPY | 0.05% |
BE0000338476 | BELGIUM 1.60 16-47 22/06A | Anleihen | EUR | 0.05% |
JP1300231675 | JAPAN 023 JGB 2.50 06-36 20/06S | Anleihen | JPY | 0.05% |
BE0000348574 | BELGIUM 1.7 19-50 05/02A | Anleihen | EUR | 0.05% |
JP1103231C62 | JAPAN 323 0.90 12-22 20/06S | Anleihen | JPY | 0.05% |
BE0000324336 | BELGIUM 4.50 11-26 28/03A | Anleihen | EUR | 0.05% |
JP1300461F39 | JAPAN 1.50 15-45 20/03S | Anleihen | JPY | 0.05% |
JP1300441E92 | JAPAN 1.70 14-44 20/09S | Anleihen | JPY | 0.05% |
JP1400021950 | JAPAN 002 JGB 2.20 09-49 20/03S | Anleihen | JPY | 0.05% |
DE0001102309 | GERMANY 1.50 13-23 15/02A | Anleihen | EUR | 0.05% |
JP1400141M51 | JAPAN 0.70 21-61 20/03S | Anleihen | JPY | 0.05% |
FR0014003513 | FRANCE 0.00 21-27 25/02A | Anleihen | EUR | 0.05% |
BE0000341504 | BELGIUM 0.80 17-27 22/06A | Anleihen | EUR | 0.05% |
NL00150006U0 | NETHERLANDS 0.00 21-31 15/07A | Anleihen | EUR | 0.05% |
IT0005438004 | BUONI POLIENNAL 1.5000 21-45 30/04S | Anleihen | EUR | 0.05% |
JP1300511G61 | JAPAN 0.30 16-46 20/06S | Anleihen | JPY | 0.05% |
US912810EZ76 | USA TREASURY BOND 6.625 97-27 15/02S | Anleihen | USD | 0.05% |
BE0000342510 | BELGIUM 0.50 17-24 22/10A | Anleihen | EUR | 0.05% |
JP1201111968 | JAPAN (20 YEAR ISSUE) 2.2 09-29 20/06S | Anleihen | JPY | 0.05% |
DE0001135143 | GERMANY 6.25 00-30 04/01A | Anleihen | EUR | 0.05% |
JP12006513C3 | JAPAN 1.90 03-23 20/12S | Anleihen | JPY | 0.05% |
NL0014555419 | NETHERLANDS 0.00 20-30 15/07A | Anleihen | EUR | 0.05% |
IT0000366655 | ITALY 9.00 93-23 01/11S | Anleihen | EUR | 0.05% |
AU000XCLWAG2 | AUSTRALIA 4.50 13-33 21/04S | Anleihen | AUD | 0.05% |
IT0005454241 | REPUBLIQUE ITALIENNE 0.00 21-26 01/08S | Anleihen | EUR | 0.04% |
CA135087K528 | CANADIAN GOVERNMENT 1.25 19-25 01/03S | Anleihen | CAD | 0.04% |
FR0014002JM6 | FRANCE 0.50 21-44 25/06A | Anleihen | EUR | 0.04% |
JP1200871653 | JAPON 2.2 06-26 20/03S | Anleihen | JPY | 0.04% |
JP1201201A88 | JAPAN 120 1.60 10-30 20/06S | Anleihen | JPY | 0.04% |
CA135087YQ12 | CANADA 4.00 08-41 01/06S | Anleihen | CAD | 0.04% |
JP1300531GC0 | JAPAN JGB 53 0.60 16-46 20/12S | Anleihen | JPY | 0.04% |
DE0001135085 | GERMANY 4.75 98-28 04/07A | Anleihen | EUR | 0.04% |
NL0013332430 | NETHERLANDS 0.25 19-29 14/02A | Anleihen | EUR | 0.04% |
US912810FJ26 | UNITED STATES 6.125 99-29 15/08S | Anleihen | USD | 0.04% |
BE0000336454 | BELGIUM 1.90 15-38 22/06A | Anleihen | EUR | 0.04% |
JP1400061D58 | JAPAN 1.90 13-53 20/03S | Anleihen | JPY | 0.04% |
IT0005384497 | ITALY 0.05 19-23 15/01S | Anleihen | EUR | 0.04% |
BE0000346552 | BELGIUM 1.25 18-33 22/04A | Anleihen | EUR | 0.04% |
JP1201381C70 | JAPAN -138- 1.50 12-32 20/06S | Anleihen | JPY | 0.04% |
JP1300551H61 | JAPAN -055- 0.80 17-47 20/06S | Anleihen | JPY | 0.04% |
BE0000333428 | BELGIUM 3.00 14-34 22/06A | Anleihen | EUR | 0.04% |
NL0013552060 | NETHERLANDS 0.50 19-40 15/01A | Anleihen | EUR | 0.04% |
US912810FA17 | UNITED STATES 6.375 97-27 15/08S | Anleihen | USD | 0.04% |
JP1201181A66 | JAPAN GOVT 118 2.00 10-30 20/06S | Anleihen | JPY | 0.04% |
JP1400081F45 | JAPAN -8- 1.40 15-55 20/03S | Anleihen | JPY | 0.04% |
JP1200631388 | JAPON� 1.8 03-23 20/06S | Anleihen | JPY | 0.04% |
CA135087ZS68 | CANADA 3.50 11-45 01/12S | Anleihen | CAD | 0.04% |
JP1103381F34 | JAPAN 0.40 15-25 20/03S | Anleihen | JPY | 0.04% |
JP1300251715 | JAPAN 2.30 06-36 20/12S | Anleihen | JPY | 0.04% |
JP1200681441 | JAPAN 68 2.20 04-24 20/03S | Anleihen | JPY | 0.04% |
JP1300221643 | JAPAN 022 JGB 2.50 06-36 20/03S | Anleihen | JPY | 0.04% |
JP13001614A6 | JAPAN 016 JGB 2.50 04-34 20/09S | Anleihen | JPY | 0.04% |
DE0001104818 | GERMANY 0.00 20-22 16/09A | Anleihen | EUR | 0.04% |
DK0009923138 | DENMARK 1.75 13-25 15/11A | Anleihen | DKK | 0.04% |
JP1201191A72 | JAPAN 1.80 10-30 20/06S | Anleihen | JPY | 0.04% |
JP1201311BB0 | JAPAN -131- 1.70 11-31 20/09S | Anleihen | JPY | 0.04% |
JP1300131420 | JAPAN 013 JGB 2.00 03-33 20/12S | Anleihen | JPY | 0.04% |
JP1201251B37 | JAPAN (20 YEAR ISS 2.20 11-31 20/03S | Anleihen | JPY | 0.04% |
JP1200841615 | JAPAN GOVT 84 2.00 05-29 20/12S | Anleihen | JPY | 0.04% |
JP1201291B88 | JAPAN 1.80 11-31 20/06S | Anleihen | JPY | 0.04% |
US912810ES34 | UNITED STATES 7.50 94-24 15/11S | Anleihen | USD | 0.04% |
CA135087A610 | CANADA 1.50 12-23 01/06S | Anleihen | CAD | 0.04% |
GB00BLPK7334 | UNITED KINGDOM 1.125 21-39 31/01S | Anleihen | GBP | 0.04% |
JP12009817B7 | JAPAN -98- 2.10 07-27 20/09S | Anleihen | JPY | 0.04% |
JP14000117B7 | JAPAN 001 JGB 2.40 07-48 20/03S | Anleihen | JPY | 0.04% |
IT0005217390 | ITALY 2.80 16-67 01/03S | Anleihen | EUR | 0.04% |
JP1300721MA9 | JAPAN (30 YEAR 0.7000 21-51 20/09S | Anleihen | JPY | 0.04% |
DK0009923997 | DENMARK 0.25 19-22 15/11A | Anleihen | DKK | 0.04% |
CA135087D358 | CANADA 2.75 14-48 01/12S | Anleihen | CAD | 0.04% |
GB00BLPK7110 | UNITED KINGDOM 0.25 21-25 31/01S | Anleihen | GBP | 0.04% |
JP1200701462 | JAPAN 2.40 04-24 20/06S | Anleihen | JPY | 0.04% |
CA135087XW98 | CANADA 5.00 04-37 01/06S | Anleihen | CAD | 0.04% |
JP1300401D91 | JAPAN GOVT 040 1.80 13-43 20/09S | Anleihen | JPY | 0.04% |
JP1103361EC6 | JAPAN 0.50 14-24 20/12S | Anleihen | JPY | 0.04% |
JP1201021860 | JAPAN 102 JGB 2.40 08-28 20/06S | Anleihen | JPY | 0.04% |
CA135087XG49 | CANADA 5.75 01-33 01/06S | Anleihen | CAD | 0.04% |
JP1201271B58 | JAPAN 127 1.90 11-31 20/03S | Anleihen | JPY | 0.04% |
SE0004869071 | SWEDEN 1.50 11-23 13/11A | Anleihen | SEK | 0.04% |
GB00BM8Z2V59 | UNITED KINGDOM 1.5000 21-53 31/07S | Anleihen | GBP | 0.04% |
BE0000340498 | BELGIUM 2.15 16-66 22/06A | Anleihen | EUR | 0.03% |
JP1300111372 | JAPAN 1.7 03-33 30/07A | Anleihen | JPY | 0.03% |
AU0000143901 | AUSTRALIA 1.75 21-32 21/11S | Anleihen | AUD | 0.03% |
JP1201361C58 | JAPAN 136 1.60 12-32 20/03S | Anleihen | JPY | 0.03% |
BE0000326356 | BELGIUM 4.00 12-32 28/03A | Anleihen | EUR | 0.03% |
NL0000102077 | NETHERLANDS 7.50 93-23 15/01A | Anleihen | EUR | 0.03% |
CA135087J967 | CANADA 1.50 19-24 01/09S | Anleihen | CAD | 0.03% |
CA135087H235 | CANADA 2.00 17-28 01/06S | Anleihen | CAD | 0.03% |
JP1201031877 | JAPAN GOVT 103 2.30 08-28 20/06S | Anleihen | JPY | 0.03% |
JP1201351C43 | JAPON 1.70 12-32 20/03S | Anleihen | JPY | 0.03% |
JP1103411FC6 | JAPAN 0.30 15-25 20/12S | Anleihen | JPY | 0.03% |
JP1300451EC6 | JAPAN 45 1.50 14-44 20/12S | Anleihen | JPY | 0.03% |
SE0003784461 | SWEDEN 3.50 11- 22 01/06A | Anleihen | SEK | 0.03% |
BE0000351602 | BELGIUM 0.0000 20-27 22/10A | Anleihen | EUR | 0.03% |
JP12009116A6 | JAPAN 091 JGB 2.30 06-26 20/09S | Anleihen | JPY | 0.03% |
SE0005676608 | SWEDEN 2.50 13-25 12/05A | Anleihen | SEK | 0.03% |
DE0001104800 | GERMANY 0.00 20-22 10/06U | Anleihen | EUR | 0.03% |
CA135087E679 | CANADA 1.50 15-26 01/06S | Anleihen | CAD | 0.03% |
JP1300171525 | JAPAN 017 JGB 2.40 05-34 20/12S | Anleihen | JPY | 0.03% |
JP1400071E55 | JAPAN 1.70 14-54 20/03S | Anleihen | JPY | 0.03% |
JP1300491FC9 | JAPAN 1.40 15-45 20/12S | Anleihen | JPY | 0.03% |
FR0014001NN8 | FRANCE 0.50 21-72 25/05A | Anleihen | EUR | 0.03% |
JP1201151A21 | JAPAN JGB (20YR ISS) 2.20 10-29 20/12S | Anleihen | JPY | 0.03% |
US912810FG86 | UNITED STATES 5.25 99-29 15/02S | Anleihen | USD | 0.03% |
CA135087M508 | CANADA 0.75 21-24 01/10S | Anleihen | CAD | 0.03% |
JP1200751533 | JAPAN 075 JGB 2.10 05-25 20/03S | Anleihen | JPY | 0.03% |
JP1200711487 | JAPAN 71 2.20 04-24 20/06S | Anleihen | JPY | 0.03% |
CA135087J397 | CANADA 2.25 18-29 01/06S | Anleihen | CAD | 0.03% |
AU000XCLWAS7 | AUSTRALIA 3.00 16-47 21/03S | Anleihen | AUD | 0.03% |
JP1200761540 | JAPAN GOVT 076 1.90 05-25 20/03S | Anleihen | JPY | 0.03% |
NL0015614579 | NETHERLANDS 0.00 20-52 15/01A | Anleihen | EUR | 0.03% |
AU3TB0000192 | AUSTRALIA 3.75 14-34 21/04S | Anleihen | AUD | 0.03% |
JP1103431G66 | JAPAN 0.10 16-26 20/06S | Anleihen | JPY | 0.03% |
JP1200741526 | JAPAN 2.10 04-24 20/12S | Anleihen | JPY | 0.03% |
CA135087F825 | CANADA 1.00 16-27 01/06S | Anleihen | CAD | 0.03% |
JP12005912C8 | JAPAN NO 59 1.70 02-22 20/12S | Anleihen | JPY | 0.03% |
DK0009923567 | DENMARK 0.5 17-27 15/11A | Anleihen | DKK | 0.03% |
JP1201091939 | JAPAN 109 JGB 1.90 09-29 20/03S | Anleihen | JPY | 0.03% |
AU0000018442 | AUSTRALIA 2.75 18-41 10/07S | Anleihen | AUD | 0.03% |
CA135087B451 | CANADA 2.50 13-24 01/06S | Anleihen | CAD | 0.03% |
BE0000339482 | BELGIUM 0.20 16-23 22/10A | Anleihen | EUR | 0.03% |
JP1300191572 | JAPAN 2.30 05-35 20/06S | Anleihen | JPY | 0.03% |
JP1201041884 | JAPAN JGB (20YR ISS) 2.10 08-28 20/06S | Anleihen | JPY | 0.03% |
JP12007314C5 | JAPAN 073 JGB 2.00 04-24 20/12S | Anleihen | JPY | 0.03% |
JP1300481F92 | JAPAN 1.40 15-45 20/09S | Anleihen | JPY | 0.03% |
CA135087M359 | CANADA 0.25 21-23 01/08S | Anleihen | CAD | 0.03% |
ES0000012I24 | SPAIN 0.85 21-37 30/07A | Anleihen | EUR | 0.03% |
SE0007125927 | SWEDEN 1.00 14-26 12/11A | Anleihen | SEK | 0.03% |
AU0000097495 | AUSTRALIA 1.75 20-51 21/06S | Anleihen | AUD | 0.03% |
BE0000343526 | BELGIUM 2.25 17-57 22/06A | Anleihen | EUR | 0.03% |
CA135087J546 | CANADA 2.2500 18-24 01/03S | Anleihen | CAD | 0.03% |
DE0001030724 | GERMANY 0.00 21-50 15/08A | Anleihen | EUR | 0.03% |
JP1201221AA5 | JAPAN 122 1.80 10-30 20/09S | Anleihen | JPY | 0.03% |
CA135087D507 | CANADA 2.25 14-25 01/06S | Anleihen | CAD | 0.03% |
DK0009923054 | DENMARK 1.50 12-23 15/11A | Anleihen | DKK | 0.03% |
SE0011281922 | SWEDEN 0.75 17-29 12/11A | Anleihen | SEK | 0.03% |
BE0000350596 | BELGIUM 0.4000 20-40 22/06A | Anleihen | EUR | 0.03% |
JP1103421G35 | JAPAN 0.10 16-26 20/03S | Anleihen | JPY | 0.03% |
AU000XCLWAP3 | AUSTRALIA 3.25 15-39 21/06S | Anleihen | AUD | 0.03% |
JP1300471F60 | JAPAN 1.60 15-45 20/06S | Anleihen | JPY | 0.03% |
BE0000344532 | BELGIUM 1.45 17-37 22/06A | Anleihen | EUR | 0.03% |
IT0005441883 | BUONI POLIENNAL 2.1500 21-72 01/03S | Anleihen | EUR | 0.02% |
JP12005812A4 | JAPAN 058 JGB 1.90 02-22 20/09S | Anleihen | JPY | 0.02% |
JP12008315C1 | JAPAN GOVT 83 2.10 15-25 20/12S | Anleihen | JPY | 0.02% |
CA135087M763 | CANADA GOVT 0.5 21-23 01/11S | Anleihen | CAD | 0.02% |
DK0009924102 | DENMARK 0.00 21-31 15/11A | Anleihen | DKK | 0.02% |
DE0001030732 | BUNDESREPUBLIK DEUTS 0.0 21-31 15/08A | Anleihen | EUR | 0.02% |
AU000XCLWAM0 | AUSTRALIA 2.75 14-35 21/06S | Anleihen | AUD | 0.02% |
CA135087WL43 | CANADA 5.75 98-29 01/06S | Anleihen | CAD | 0.02% |
JP1200851630 | JAPAN 85 2.10 06-26 20/03S | Anleihen | JPY | 0.02% |
DE0001030708 | GERMANY 0.0000 20-30 15/08A | Anleihen | EUR | 0.02% |
JP1300101357 | JAPAN 010 JGB 1.10 03-33 20/03S | Anleihen | JPY | 0.02% |
NL0015000B11 | NETHERLANDS 0.00 21-38 15/01A | Anleihen | EUR | 0.02% |
SE0002829192 | SWEDEN 3.50 09-39 30/03A | Anleihen | SEK | 0.02% |
CA135087ZU15 | CANADA 2.75 11-22 01/06S | Anleihen | CAD | 0.02% |
CA135087C939 | CANADA 2.75 14-64 01/12S | Anleihen | CAD | 0.02% |
FR0014004J31 | FRANCE 0.75 21-53 25/05A | Anleihen | EUR | 0.02% |
CA135087VH40 | CANADA 9.00 94-25 01/06S | Anleihen | CAD | 0.02% |
DK0009924029 | DENMARK 0.25 20-52 15/11A | Anleihen | DKK | 0.02% |
ES0000012J15 | SPAIN 0.00 21-27 31/01A | Anleihen | EUR | 0.02% |
GB00BLPK7227 | UNITED KINGDOM 0.500 21-29 31/01S | Anleihen | GBP | 0.02% |
JP1200781563 | JAPAN 078 JGB 1.90 05-25 20/06S | Anleihen | JPY | 0.02% |
ES0000012H58 | SPAIN 1.45 21-71 31/10A | Anleihen | EUR | 0.02% |
DE0001102572 | GERMANY 0.00 21-52 15/08A | Anleihen | EUR | 0.02% |
SE0009496367 | SWEDEN 0.75 16-28 12/05A | Anleihen | SEK | 0.02% |
BE0000353624 | BELGIUM 0.65 21-71 22/06A | Anleihen | EUR | 0.02% |
NL0000102275 | NETHERLANDS 3.75 06-23 15/01A | Anleihen | EUR | 0.02% |
DE0001030716 | GERMANY 0.00 20-25 10/10A | Anleihen | EUR | 0.02% |
CA135087M680 | CANADA 1.75 21-53 01/12S | Anleihen | CAD | 0.02% |
NL0015000LS8 | NETHERLANDS GOVERNMENT 0.0 21-29 15/01A | Anleihen | EUR | 0.02% |
NL0010060257 | NETHERLANDS 2.25 12-22 15/07A | Anleihen | EUR | 0.02% |
IT0005424251 | ITALY 0.00 20-24 15/01S | Anleihen | EUR | 0.02% |
JP1103371F10 | JAPAN 337 0.30 14-24 20/12S | Anleihen | JPY | 0.02% |
US912810EW46 | UNITED STATES 6.00 96-26 15/02S | Anleihen | USD | 0.02% |
SE0013935319 | SWEDEN 0.125 20-31 12/05A | Anleihen | SEK | 0.02% |
ES0000012J07 | SPGB 1.00 21-42 30/07A | Anleihen | EUR | 0.02% |
JP1200791570 | JAPAN 079 JGB 2.00 05-25 20/06S | Anleihen | JPY | 0.02% |
SE0004517290 | SWEDEN 2.25 11-32 01/06A | Anleihen | SEK | 0.02% |
IT0005439275 | ITALY 0.00 21-24 15/04S | Anleihen | EUR | 0.02% |
CA135087N266 | CANADA GOVT 1.5 21-31 25/10S | Anleihen | CAD | 0.02% |
JP1200691457 | JAPAN 69 2.10 04-24 20/03S | Anleihen | JPY | 0.02% |
JP1200861647 | JAPAN 2.30 06-26 20/03S | Anleihen | JPY | 0.02% |
US912810EX29 | UNITED STATES 6.75 96-26 15/08S | Anleihen | USD | 0.01% |
JP1200811592 | JAPAN-81 2.00 06-25 20/09S | Anleihen | JPY | 0.01% |
IT0005452989 | ITALY 21-24 15/08U | Anleihen | EUR | 0.01% |
JP1200891685 | JAPAN 089 JGB 2.20 06-26 20/06S | Anleihen | JPY | 0.01% |
JP1103311DB5 | JAPAN 0.60 13-23 20/09S | Anleihen | JPY | 0.01% |
CA135087M920 | CANADIAN GOVERNMENT 0.75 21-24 01/01S | Anleihen | CAD | 0.01% |
JP1200621363 | JAPAN 062 JGB 0.80 03-23 20/06S | Anleihen | JPY | 0.01% |
JP1024141L76 | JAPAN (2 YEAR I 0.1000 20-22 01/07S | Anleihen | JPY | 0.01% |
JP13001213B5 | JAPAN 12 2.10 03-33 20/09S | Anleihen | JPY | 0.01% |
FR0000571085 | FRANCE 8.50 92-23 25/04A | Anleihen | EUR | 0.01% |
IT0005277444 | ITALY 0.90 17-22 01/08S | Anleihen | EUR | 0.01% |
US912810EV62 | USA TREASURY BONDS 6.875 95-25 15/08S | Anleihen | USD | 0.01% |
JP1200801585 | JAPAN -80- 2.10 05-25 20/06S | Anleihen | JPY | 0.01% |
DK0009924292 | KINGDOM OF DENM 0.0000 21-24 15/11A | Anleihen | DKK | 0.01% |
SE0015193313 | SWEDEN 0.50 20-45 24/11A | Anleihen | SEK | 0.01% |
CA135087UT96 | CANADA 8.00 92-23 01/06S | Anleihen | CAD | 0.00% |
JP12008215A7 | JAPAN 2.10 05-25 20/09S | Anleihen | JPY | 0.00% |
CA135087VW17 | CANADA 8.00 96-27 01/06S | Anleihen | CAD | 0.00% |
DK0009918138 | DENMARK 7.00 94-24 10/11A | Anleihen | DKK | 0.00% |
SE0016102115 | SWEDEN 1.3750 21-71 23/06A | Anleihen | SEK | 0.00% |
US912810FE39 | USA TREASURY NOTES 5.50 98-28 15/08S | Anleihen | USD | 0.00% |
nan | XEUR FGBS SCH 1221 | ANLEIHEN-FUTURE | EUR | 0.00% |