ETF constituents for LU1778293313

Below, a list of constituents for LU1778293313 (AMUNDI INDEX BARCLAYS GLOBAL AGG 500M - UCITS ETF DR - USD HEDGED (C)) is shown. In total, LU1778293313 consists of 4752 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 %
US912828Z609 UNITED STATES 1.375 20-22 31/01S Anleihen USD 1.00%
US912828WJ58 UNITED STATES 2.50 14-24 15/05S Anleihen USD 0.32%
US91282CCB54 UNITED STATES 1.625 21-31 15/05S Anleihen USD 0.31%
CND10001Q6Q0 CHINA 4.08 18-48 22/10S Anleihen CNY 0.27%
CND100025LF0 CHINA 3.19 19-24 11/04A Anleihen CNY 0.25%
CND10001YC12 EXP IMP BANK CHINA 3.28 19-24 11/02A Anleihen CNY 0.25%
JP1103541K42 JAPAN 10 YEAR ISSUE 0.1 19-29 20/03S Anleihen JPY 0.25%
US912828XT22 UNITED STATES 2.00 17-24 31/05S Anleihen USD 0.24%
JP1051391K44 JAPAN 0.1 19-34 20/03S Anleihen JPY 0.22%
CND10002M200 CHINA 3.3900 20-50 16/03S Anleihen CNY 0.20%
CND10002D1Y9 CHINA 3.25 19-49 22/07S Anleihen CNY 0.20%
CND10002KVW4 CHINA DEVELOPMENT BA 3.23 20-25 10/01A Anleihen CNY 0.19%
US912828Y875 UNITED STATES 1.75 19-24 31/07S Anleihen USD 0.19%
CND10001LYY4 CHINA DEVELOPMENT BANK 3.76 18-23 14/08A Anleihen CNY 0.19%
US91282CAV37 UNITED STATES -30 15/11U Anleihen USD 0.19%
US91282CBQ33 UNITED STATES 0.50 21-26 28/02S Anleihen USD 0.19%
US91282CBL46 UNITED STATES 1.125 21-31 15/02S Anleihen USD 0.18%
JP1103441G98 JAPAN 0.10 16-26 20/09S Anleihen JPY 0.18%
JP1103501J35 JAPAN 0.10 18-28 20/03S Anleihen JPY 0.18%
US91282CAE12 UNITED STATES OF AMER 0.625 20-30 15/08S Anleihen USD 0.17%
JP1103351E98 JAPAN -335- 0.50 14-24 20/09S Anleihen JPY 0.17%
US912828M805 UNITED STATES 2.00 15-22 30/11S Anleihen USD 0.16%
US9128285M81 UNITED STATES 3.1250 18-28 15/11S Anleihen USD 0.16%
JP1103281D37 JAPAN GOVT 328 0.60 13-23 20/03S Anleihen JPY 0.16%
CND10001Q6P2 CHINA GOVERNMENT BOND 3.29 18-23 18/10A Anleihen CNY 0.16%
US91282CAX92 UNITED STATES 0.125 20-22 30/11S Anleihen USD 0.16%
JP1103321DC2 JAPAN 0.60 13-23 20/12S Anleihen JPY 0.16%
US912828U246 UNITED STATES 2.00 16-26 15/11S Anleihen USD 0.16%
JP1051471M45 JAPAN 0.005 21-26 20/03S Anleihen JPY 0.16%
JP1103391F65 JAPAN 0.40 15-25 20/06S Anleihen JPY 0.15%
JP1103411FC6 JAPAN 0.30 15-25 20/12S Anleihen JPY 0.15%
CND10003VNX4 CHINA 3.27 20-30 19/11S Anleihen CNY 0.15%
JP1051341HC3 JAPAN 0.10 17-22 20/12S Anleihen JPY 0.15%
JP1103471H66 JAPON 0.10 17-27 20/06S Anleihen JPY 0.15%
JP1051441L76 JAPAN 0.10 20-25 20/06S Anleihen JPY 0.15%
JP1103461H35 JAPON 0.10 17-27 20/03S Anleihen JPY 0.15%
US912828TY62 UNITED STATES 1.625 12-22 15/11S Anleihen USD 0.15%
JP1051451LA6 JAPAN 0.10 20-25 20/09S Anleihen JPY 0.15%
US91282CBG50 UNITED STATES 0.125 21-23 31/01S Anleihen USD 0.15%
JP1103291D68 JAPAN 0.80 13-23 20/06S Anleihen JPY 0.15%
JP1103271D13 JAPAN 0.80 13-22 20/12S Anleihen JPY 0.15%
JP1103451GC0 JAPAN 0.10 16-26 20/12S Anleihen JPY 0.15%
CND100011220 CHINA DEVELOPMENT BA 4.04 18-28 06/07A Anleihen CNY 0.15%
US912810SX72 UNITED STATES -51 15/05S Anleihen USD 0.15%
FR0011317783 FRANCE 2.75 12-27 25/10A Anleihen EUR 0.14%
US91282CBD20 UNITED STATES 0.125 20-22 31/12S Anleihen USD 0.14%
JP1103341E67 JAPAN -334- 0.60 14-24 20/06S Anleihen JPY 0.14%
JP1103481H98 JAPAN -348- 0.10 17-27 20/09S Anleihen JPY 0.14%
JP1103511J74 JAPON 0.1 18-28 20/06S Anleihen JPY 0.14%
JP1051411KA2 JAPAN 0.10 19-24 20/09S Anleihen JPY 0.14%
CND10003S3B5 CHINA 2.88 20-23 05/11A Anleihen CNY 0.14%
US912810SU34 UNITED STATES 1.875 21-51 15/02S Anleihen USD 0.14%
JP1103601LA4 JAPAN 0.10 20-30 20/09S Anleihen JPY 0.14%
JP1103591L73 JAPAN 0.10 20-30 20/06S Anleihen JPY 0.14%
JP1103611M11 JAPAN 0.10 21-30 20/12S Anleihen JPY 0.14%
JP1103421G35 JAPAN 0.10 16-26 20/03S Anleihen JPY 0.14%
US912828P469 UNITED STATES 1.625 16-26 15/02S Anleihen USD 0.14%
FR0013286192 FRANCE 0.75 17-28 25/05A Anleihen EUR 0.14%
JP1103401F97 JAPAN 0.40 15-25 20/09S Anleihen JPY 0.14%
JP1103491HC4 JAPAN 0.10 17-27 20/12S Anleihen JPY 0.14%
US912828ZQ64 UNITED STATES 0.625 20-30 15/05S Anleihen USD 0.14%
CND100031JZ0 CHINA 1.99 20-25 09/04A Anleihen CNY 0.13%
GB00B24FF097 UNITED KINGDOM 4.75 07-30 07/12S Anleihen GBP 0.13%
FR0011883966 FRANCE 2.50 13-30 25/05A Anleihen EUR 0.13%
JP1103431G66 JAPAN 0.10 16-26 20/06S Anleihen JPY 0.13%
FR0013341682 FRANCE 0.75 17-28 25/11A Anleihen EUR 0.13%
CND100036Q75 CHINA 2.68 20-30 21/05S Anleihen CNY 0.13%
JP1103381F34 JAPAN 0.40 15-25 20/03S Anleihen JPY 0.13%
JP1103621M43 JAPAN 0.10 21-31 20/03S Anleihen JPY 0.13%
JP1103631M74 JAPAN 0.10 21-31 20/06S Anleihen JPY 0.13%
JP1103531K10 JAPAN -353- 0.1 18-28 20/12S Anleihen JPY 0.13%
US912810SY55 UNITED STATES 2.250 21-41 15/05S Anleihen USD 0.13%
US91282CBW01 UNITED STATES 0.75 21-26 30/04S Anleihen USD 0.13%
CND10001SWR7 CHINA GOVERNMENT BOND 3.22 18-25 06/12A Anleihen CNY 0.13%
JP1051351J37 JAPON S.135 0.1 18-32 20/03S Anleihen JPY 0.13%
JP1051461M13 JAPAN 0.10 21-25 20/12S Anleihen JPY 0.13%
US91282CCS89 US TREASURY N/B 1.2500 21-31 15/08S Anleihen USD 0.13%
US9128283W81 UNITED STATES 2.75 18-28 15/02S Anleihen USD 0.13%
JP1103581L42 JAPAN 10 YEAR ISSUE 0.1 20-30 20/03S Anleihen JPY 0.13%
CND100010JJ8 AGRICULTURAL 4.37 18-23 25/05A Anleihen CNY 0.13%
JP1103331E36 JAPAN 0.60 14-24 20/03S Anleihen JPY 0.13%
FR0010773192 FRANCE 4.50 09-41 25/04A Anleihen EUR 0.13%
CND100029RW4 CHINA 3.25 19-26 06/06A Anleihen CNY 0.13%
US9128284N73 US TREASURY N/B 2.8750 18-28 15/05S Anleihen USD 0.13%
US91282CAR25 UNITED STATES 0.125 20-22 31/10S Anleihen USD 0.13%
CND1000291L3 CHINA 3.29 19-29 23/05S Anleihen CNY 0.13%
US91282CBU45 UNITED STATES 0.125 21-23 31/03S Anleihen USD 0.13%
US912810SZ21 UNITED STATES 2.00 -51 15/08S Anleihen USD 0.13%
CND100045210 CHINA 3.03 21-26 11/03A Anleihen CNY 0.12%
US9128282N91 US TREASURY 2.125 17-24 31/07S Anleihen USD 0.12%
US9128282A70 UNITED STATES 1.50 16-26 15/08S Anleihen USD 0.12%
GB0004893086 UNITED KINGDOM 4.25 00-32 07/06S Anleihen GBP 0.12%
CND10001X8C7 AGRICULTURAL DEVELOPM 3.75 19-29 25/01A Anleihen CNY 0.12%
CND100037XX3 CHINA 2.85 20-27 04/06A Anleihen CNY 0.12%
JP1103521JA8 JAPAN 0.10 18-28 20/09S Anleihen JPY 0.12%
JP1051371JA0 JAPAN (5 YEAR I 0.1000 18-23 20/09S Anleihen JPY 0.12%
CND10003R702 CHINA 3.02 20-25 22/10A Anleihen CNY 0.12%
GB00B06YGN05 UNITED KINGDOM 4.25 05-55 07/12S Anleihen GBP 0.12%
FR0000187635 FRANCE 5.75 00-32 25/10A Anleihen EUR 0.12%
JP1051381K12 JAPAN -138- 0.1 18-23 20/12S Anleihen JPY 0.12%
US9128284V99 US TREASURY N/B 2.8750 18-28 15/08S Anleihen USD 0.12%
FR0013283686 FRANCE 0.00 17-23 25/03A Anleihen EUR 0.12%
CND10002HGP5 CHINA 2.94 19-24 17/10A Anleihen CNY 0.12%
US91282CCE93 UNITED STATES 1.25 21-28 31/05S Anleihen USD 0.12%
US912828W713 UNITED STATES 2.125 17-24 31/03S Anleihen USD 0.12%
CND100010GW7 AGRICULTURAL DEVELOPM 4.65 18-28 11/05A Anleihen CNY 0.12%
US91282CBJ99 UNITED STATES 0.75 21-28 31/01S Anleihen USD 0.12%
US912810ST60 UNITED STATES 1.3750 20-40 15/11S Anleihen USD 0.12%
JP1051401K75 JAPAN 0.1 19-24 20/06S Anleihen JPY 0.12%
US912810SW99 UNITED STATES 1.875 21-41 15/02S Anleihen USD 0.12%
JP1103571L10 JAPON 0.10 19-29 20/12S Anleihen JPY 0.12%
GB00B52WS153 UK TREASURY STOCK 4.50 09-34 07/09S Anleihen GBP 0.11%
US912828X885 UNITED STATES 2.375 17-27 15/05S Anleihen USD 0.11%
US91282CBZ32 UNITED STATES 1.250 21-28 30/04S Anleihen USD 0.11%
CND10000L5W6 AGRICULTURAL DEVELOPME 4.98 18-25 12/01A Anleihen CNY 0.11%
GB00B54QLM75 UK TREASURY STOCK 4.00 09-60 22/01S Anleihen GBP 0.11%
US912810SS87 UNITED STATES 1.625 20-50 15/11S Anleihen USD 0.11%
JP1103551K72 JAPAN 0.10 19-29 20/06S Anleihen JPY 0.11%
US912828N308 UNITED STATES 2.125 15-22 31/12S Anleihen USD 0.11%
US912810SP49 UNITED STATES 1.375 20-50 15/08S Anleihen USD 0.11%
US912828M565 UNITED STATES 2.25 15-25 15/11S Anleihen USD 0.11%
US9128283F58 UNITED STATES 2.25 17-27 15/11S Anleihen USD 0.11%
US912810SJ88 UNITED STATES 2.25 19-49 15/08S Anleihen USD 0.11%
JP1103301D90 JAPAN 0.80 13-23 20/09S Anleihen JPY 0.11%
JP1103561KA2 JAPAN 0.10 19-29 20/09S Anleihen JPY 0.11%
CND10003N750 CHINA 3.81 20-21 14/03S Anleihen CNY 0.11%
DE0001135481 GERMANY 2.50 12-44 04/07A Anleihen EUR 0.11%
FR0010466938 FRANCE 4.25 06-23 25/10A Anleihen EUR 0.11%
US912810SH23 UNITED STATES 2.875 19-49 15/05S Anleihen USD 0.11%
US912810SF66 UNITED STATES 3.0 19-49 15/02S Anleihen USD 0.11%
US912828V988 USA T NOTES B 2.25 17-27 15/02S Anleihen USD 0.11%
US912828D564 UNITED STATES 2.375 14-24 15/08S Anleihen USD 0.11%
US91282CCH25 UNITED STATES 1.25 21-28 30/06S Anleihen USD 0.11%
CND10002HX17 CHINA 3.12 19-26 05/12A Anleihen CNY 0.11%
FR0012993103 FRANCE 1.50 15-31 25/05A Anleihen EUR 0.11%
GB00B128DP45 UNITED KINGDOM 4.25 06-46 07/12S Anleihen GBP 0.11%
US91282CBR16 UNITED STATES 0.2521-24 15/03S Anleihen USD 0.11%
US912828WE61 UNITED STATES 2.75 13-23 15/11S Anleihen USD 0.10%
GB00BDRHNP05 UK TSY 1.25 17-27 22/07S Anleihen GBP 0.10%
FR0013344751 FRANCE 0.0 18-24 25/03A Anleihen EUR 0.10%
US912828Z948 UNITED STATES 1.5000 20-30 15/02S Anleihen USD 0.10%
US91282CCG42 UNITED STATES 0.25 21-24 15/06S Anleihen USD 0.10%
CND10002LTC8 CHINA 2.24 20-23 05/03A Anleihen CNY 0.10%
GB0032452392 UNITED KINGDOM 4.25 03-36 07/03S Anleihen GBP 0.10%
FR0012938116 FRANCE 1.00 15-25 25/11A Anleihen EUR 0.10%
JP1201511EC7 JAPAN (20 YEAR ISS 1.20 14-34 20/12S Anleihen JPY 0.10%
GB00B1VWPJ53 UNITED KINGDOM 4.50 07-42 07/12S Anleihen GBP 0.10%
GB00BK5CVX03 UNITED KINGDOM OF GR 0.625 19-25 07/06S Anleihen GBP 0.10%
US912810SC36 UNITED STATES 3.1250 18-48 15/05S Anleihen USD 0.10%
CND10003FSH9 CHINA DEVELOPMENT BA 3.34 20-25 14/07A Anleihen CNY 0.10%
US912810SN90 US TREASURY 1.25 20-50 15/11S Anleihen USD 0.10%
US91282CCJ80 UNITED STATES 0.8750 21-26 30/06S Anleihen USD 0.10%
GB00BBJNQY21 UNITED KINGDOM 3.50 13-65 22/07S Anleihen GBP 0.10%
US91282CAZ41 UNITED STATES 0.375 20-25 30/11S Anleihen USD 0.10%
US912828G385 UNITED STATES 2.25 14-24 15/11S Anleihen USD 0.10%
DE0001102341 GERMANY 2.50 14-46 15/08A Anleihen EUR 0.10%
FR0013516549 FRANCE 0.0000 20-30 25/11A Anleihen EUR 0.10%
JP1051421L13 JAPAN 0.10 19-24 20/12S Anleihen JPY 0.10%
US91282CAY75 UNITED STATES 0.625 20-27 30/11S Anleihen USD 0.10%
FR0011486067 FRANCE 1.75 12-23 25/05A Anleihen EUR 0.10%
FR0013451507 FRANCE 0.0000 19-29 25/11A Anleihen EUR 0.10%
US91282CBH34 UNITED STATES 0.375 21-26 31/01S Anleihen USD 0.10%
GB00BFX0ZL78 UK TSY 1.625 18-28 22/10S Anleihen GBP 0.10%
FR0013407236 FRANCE 0.5 18-29 25/05A Anleihen EUR 0.10%
US91282CBN02 UNITED STATES 0.125 21-23 28/02S Anleihen USD 0.10%
US912810SR05 UNITED STATES 1.125 20-40 15/05S Anleihen USD 0.10%
FR0013200813 FRANCE 0.25 15-26 25/11A Anleihen EUR 0.10%
GB00BJMHB534 ROYAUME UNI DE GRANDE 0.875 19-29 22/10S Anleihen GBP 0.10%
CND100047QT4 CHINA 3.02 21-31 27/05S Anleihen CNY 0.10%
US912810SE91 UNITED STATES 2.25 19-49 15/08S Anleihen USD 0.10%
US9128286T26 UNITED STATES 2.375 19-29 15/05S Anleihen USD 0.10%
US91282CAU53 UNITED STATES 0.50 20-27 31/10S Anleihen USD 0.10%
US9128286B18 UNITED STATES 2.625 19-29 15/02S Anleihen USD 0.10%
JP1051481M76 JAPAN 0.005 21-26 20/06S Anleihen JPY 0.10%
JP1103371F10 JAPAN 337 0.30 14-24 20/12S Anleihen JPY 0.10%
GB00B6RNH572 UNITED KINGDOM 3.75 11-52 22/07S Anleihen GBP 0.10%
JP1051431L45 JAPAN 0.10 20-25 20/03S Anleihen JPY 0.10%
CND100009CN7 CHINA DEVELOPMENT BANK 3.8 16-36 25/01A Anleihen CNY 0.10%
GB00BYZW3G56 UNITED KINGDOM 1.50 16-26 22/07S Anleihen GBP 0.10%
CND10001WKZ7 CHINA DEVELOPMENT BK 3.48 19-29 08/01A Anleihen CNY 0.10%
GB00B6460505 UNITED KINGDOM 4.25 10-40 07/12S Anleihen GBP 0.10%
FR0010070060 FRANCE 4.75 04-35 25/04A Anleihen EUR 0.10%
CND100009K58 EXPORT-IMPORT B 3.3300 16-26 22/02A Anleihen CNY 0.10%
CND100034370 AGRICULTURAL DEV BK 2.25 20-25 22/04A Anleihen CNY 0.10%
FR0013313582 FRANCE 1.25 18-34 25/05A Anleihen EUR 0.09%
JP1201681K44 JAPAN 0.4 19-39 20/03S Anleihen JPY 0.09%
CND10002F519 AGRICULTURAL DEV BK 3.24 19-24 14/08A Anleihen CNY 0.09%
JP1201531F68 JAPAN N.153 1.30 15-35 20/06S Anleihen JPY 0.09%
GB0030880693 UNITED KINGDOM 5.00 01-25 07/03S Anleihen GBP 0.09%
US91282CBB63 US TREASURY 0.625 20-27 31/12S Anleihen USD 0.09%
US91282CBS98 UNITED STATES 1.250 21-28 31/03S Anleihen USD 0.09%
FR0013250560 FRANCE 1.00 16-27 25/05A Anleihen EUR 0.09%
IT0001444378 ITALY 6.00 00-31 01/05S Anleihen EUR 0.09%
JP1201461D98 JAPAN 1.70 13-33 20/09S Anleihen JPY 0.09%
DE0001135275 GERMANY 4.00 05-37 04/01A Anleihen EUR 0.09%
CND10003C6F7 CHINA 2.36 20-23 02/07A Anleihen CNY 0.09%
GB00B84Z9V04 UNITED KINGDOM 3.25 12-44 22/01S Anleihen GBP 0.09%
US912828K742 UNITED STATES 2.00 15-25 15/08S Anleihen USD 0.09%
CND10002HV84 CHINA 3.13 19-29 21/11S Anleihen CNY 0.09%
JP1201491E67 JAPAN GOVT 149 1.50 14-34 20/06S Anleihen JPY 0.09%
FR0013154044 FRANCE 1.25 16-36 25/05A Anleihen EUR 0.09%
GB00B7Z53659 UNITED KINGDOM 2.25 13-23 07/09S Anleihen GBP 0.09%
GB00BN65R313 UNITED KINGDOM 3.50 14-45 22/01S Anleihen GBP 0.09%
US91282CBC47 UNITED STATES 0.375 20-25 31/12S Anleihen USD 0.09%
US91282CCW91 UNITED STATES 0.75 21-26 31/08S Anleihen USD 0.09%
US91282CCP41 UNITED STATES 0.625 21-26 31/07S Anleihen USD 0.09%
US91282CCV19 UNITED STATES 1.125 21-28 31/08S Anleihen USD 0.09%
JP1201451D66 JAPAN 1.70 13-33 20/06S Anleihen JPY 0.09%
US91282CBX83 UNITED STATES 0.125 21-23 30/04S Anleihen USD 0.09%
GB00B00NY175 UK TREASURY GILT STK 4.75 04-38 07/12S Anleihen GBP 0.09%
US91282CCN92 UNITED STATES 0.125 21-23 31/07S Anleihen USD 0.09%
DE0001135226 GERMANY 4.75 03-34 04/07A Anleihen EUR 0.09%
US912828R366 UNITED STATES 1.625 16-26 15/05S Anleihen USD 0.09%
CND10003XKV0 CHINA GOVERNMENT BOND 2.93 20-22 10/12A Anleihen CNY 0.09%
JP1201471DC6 JAPAN 147 1.60 13-33 20/12S Anleihen JPY 0.09%
GB00BTHH2R79 UNITED KINGDOM 2.00 15-25 07/09S Anleihen GBP 0.09%
US912810SQ22 UNITED STATES 1.125 20-40 15/08S Anleihen USD 0.09%
US91282CAD39 UNITED STATES 0.3750 20-27 31/07S Anleihen USD 0.09%
US91282CBM29 UNITED STATES 0.125 21-24 15/02S Anleihen USD 0.09%
US912828J272 UNITED STATES 2.00 15-25 15/02S Anleihen USD 0.09%
JP1201131990 JAPAN 2.10 09-29 20/09S Anleihen JPY 0.09%
US91282CCL37 UNITED STATES 0.375 21-24 15/07S Anleihen USD 0.09%
US91282CAT80 UNITED STATES 0.25 20-25 31/10S Anleihen USD 0.09%
FR0010916924 FRANCE 3.50 10-26 25/04A Anleihen EUR 0.09%
FR0013257524 FRANCE 2.00 17-48 25/05A Anleihen EUR 0.09%
GB00BD0XH204 UK GILT 1.75 17-58 22/07S Anleihen GBP 0.09%
CND10003W0P5 CHINA 3.28 20-27 03/12A Anleihen CNY 0.09%
DE0001102424 GERMANY 0.50 17-27 15/08A Anleihen EUR 0.09%
US91282CDF59 UNITED STATES 1.375 21-28 31/10S Anleihen USD 0.09%
US91282CCZ23 US TREASURY N/B 0.8750 21-26 30/09S Anleihen USD 0.09%
GB00BFWFPP71 UNITED KINGDOM GILT 1.75 18-49 22/01Q Anleihen GBP 0.09%
FR0011619436 FRANCE 2.25 13-24 25/05A Anleihen EUR 0.09%
US912810SD19 UNITED STATES 3.00 18-48 15/08S Anleihen USD 0.09%
US912810SK51 UNITED STATES 2.375 19-49 15/11S Anleihen USD 0.09%
FR0011461037 FRANCE 3.25 12-45 25/05A Anleihen EUR 0.09%
CND10001RRB3 CHINA GOVERNMENT BOND 3.25 18-28 22/11S Anleihen CNY 0.09%
JP1051361J76 JAPAN 0.1 18-23 20/06S Anleihen JPY 0.09%
JP1201551FC0 JAPAN 1.00 15-35 20/12S Anleihen JPY 0.09%
US912828B667 UNITED STATES 2.750 14-24 15/02S Anleihen USD 0.09%
FR0013131877 FRANCE 0.50 15-26 25/05A Anleihen EUR 0.09%
CND100045707 CHINA DEVELOPMENT BA 3.3 21-26 03/03A Anleihen CNY 0.09%
US912810SL35 UNITED STATES 2.00 20-50 15/02S Anleihen USD 0.09%
CND100008S93 CHINA DEVELOPMENT BANK 3.74 15-25 10/09A Anleihen CNY 0.09%
GB00BHBFH458 UNITED KINGDOM 2.75 14-24 07/09S Anleihen GBP 0.09%
US912828ZH65 UNITED STATES 0.25 20-23 15/04S Anleihen USD 0.08%
GB00B3KJDS62 UK TREASURY STOCK 4.25 09-39 07/09S Anleihen GBP 0.08%
US91282CCF68 UNITED STATES 0.75 21-26 31/05S Anleihen USD 0.08%
US912828T263 US TREASURY N/B 1.375 16-23 30/09S Anleihen USD 0.08%
GB00B16NNR78 UNITED KINGDOM 4.25 06-27 07/12S Anleihen GBP 0.08%
US91282CBT71 UNITED STATES 0.7500 21-26 31/03S Anleihen USD 0.08%
US912828VS66 UNITED STATES 2.50 13-23 15/08S Anleihen USD 0.08%
US91282CAL54 UNITED STATES 0.3750 20-27 30/09S Anleihen USD 0.08%
GB00B39R3707 UNITED KINGDOM 4.25 08-49 07/12S Anleihen GBP 0.08%
US91282CDA62 UNITED STATES TREASUR 0.25 21-23 30/09S Anleihen USD 0.08%
GB00BMGR2809 UNITED KINGDOM 0.25 20-31 31/07S Anleihen GBP 0.08%
JP1201501E99 JAPAN 1.40 14-34 20/09S Anleihen JPY 0.08%
CND10000BV90 CHINA DEVELOPME 3.0500 16-26 25/08A Anleihen CNY 0.08%
GB00BZB26Y51 UK TREASURY GILT 1.75 16-37 07/09S Anleihen GBP 0.08%
CND100029N10 EXP IMP BANK CHINA 3.86 19-29 20/05A Anleihen CNY 0.08%
US9128282U35 UNITED STATES 1.875 17-24 31/08S Anleihen USD 0.08%
FR0013415627 FRANCE 0.00 19-25 25/03A Anleihen EUR 0.08%
CND10002D282 AGRICULTURAL DEV BK 3.74 19-29 12/07A Anleihen CNY 0.08%
US912828YB05 UNITED STATES 1.375 19-22 15/10S Anleihen USD 0.08%
JP12011419C6 JAPAN GOVT 2.1 09-29 20/12S Anleihen JPY 0.08%
GB00BMGR2791 UNITED KINGDOM 0.125 20-24 31/01S Anleihen GBP 0.08%
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