Below, a list of constituents for LU2182388236 (AMUNDI INDEX EURO AGG SRI - UCITS ETF DR (C)) is shown. In total, LU2182388236 consists of 1421 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 % |
FR0011317783 | FRANCE 2.75 12-27 25/10A | Anleihen | EUR | 0.53% |
FR0013341682 | FRANCE 0.75 17-28 25/11A | Anleihen | EUR | 0.52% |
FR0010773192 | FRANCE 4.50 09-41 25/04A | Anleihen | EUR | 0.50% |
- | CASH | - | - | 0.49% |
FR0013286192 | FRANCE 0.75 17-28 25/05A | Anleihen | EUR | 0.49% |
FR0011883966 | FRANCE 2.50 13-30 25/05A | Anleihen | EUR | 0.48% |
FR0012993103 | FRANCE 1.50 15-31 25/05A | Anleihen | EUR | 0.47% |
FR0000187635 | FRANCE 5.75 00-32 25/10A | Anleihen | EUR | 0.42% |
FR0013344751 | FRANCE 0.0 18-24 25/03A | Anleihen | EUR | 0.40% |
FR0011619436 | FRANCE 2.25 13-24 25/05A | Anleihen | EUR | 0.40% |
FR0013407236 | FRANCE 0.5 18-29 25/05A | Anleihen | EUR | 0.40% |
FR0010916924 | FRANCE 3.50 10-26 25/04A | Anleihen | EUR | 0.39% |
FR0011486067 | FRANCE 1.75 12-23 25/05A | Anleihen | EUR | 0.37% |
DE0001102341 | GERMANY 2.50 14-46 15/08A | Anleihen | EUR | 0.36% |
DE0001135275 | GERMANY 4.00 05-37 04/01A | Anleihen | EUR | 0.36% |
FR0013516549 | FRANCE 0.0000 20-30 25/11A | Anleihen | EUR | 0.36% |
FR0010466938 | FRANCE 4.25 06-23 25/10A | Anleihen | EUR | 0.36% |
FR0013250560 | FRANCE 1.00 16-27 25/05A | Anleihen | EUR | 0.36% |
IT0005405318 | ITALY 0.60 20-23 15/06S | Anleihen | EUR | 0.35% |
DE0001135226 | GERMANY 4.75 03-34 04/07A | Anleihen | EUR | 0.34% |
FR0013154044 | FRANCE 1.25 16-36 25/05A | Anleihen | EUR | 0.34% |
FR0010070060 | FRANCE 4.75 04-35 25/04A | Anleihen | EUR | 0.33% |
FR0013313582 | FRANCE 1.25 18-34 25/05A | Anleihen | EUR | 0.33% |
IT0001444378 | ITALY 6.00 00-31 01/05S | Anleihen | EUR | 0.33% |
DE0001135366 | GERMANY 4.75 08-40 04/07A | Anleihen | EUR | 0.32% |
FR0011962398 | FRANCE 1.75 13-24 25/11A | Anleihen | EUR | 0.32% |
FR0013451507 | FRANCE 0.0000 19-29 25/11A | Anleihen | EUR | 0.32% |
FR0013131877 | FRANCE 0.50 15-26 25/05A | Anleihen | EUR | 0.32% |
FR0010371401 | FRANCE 4.00 06-38 25/10A | Anleihen | EUR | 0.32% |
DE0001135432 | GERMANY 3.25 10-42 04/07A | Anleihen | EUR | 0.31% |
DE0001102374 | GERMANY 0.50 15-25 15/02A | Anleihen | EUR | 0.31% |
FR0014001N46 | FRANCE 0.00 21-24 25/02A | Anleihen | EUR | 0.31% |
FR0012938116 | FRANCE 1.00 15-25 25/11A | Anleihen | EUR | 0.30% |
IT0004889033 | ITALY 4.75 13-28 01/09S | Anleihen | EUR | 0.30% |
DE0001135481 | GERMANY 2.50 12-44 04/07A | Anleihen | EUR | 0.30% |
FR0013200813 | FRANCE 0.25 15-26 25/11A | Anleihen | EUR | 0.30% |
FR0011461037 | FRANCE 3.25 12-45 25/05A | Anleihen | EUR | 0.30% |
FR0013283686 | FRANCE 0.00 17-23 25/03A | Anleihen | EUR | 0.30% |
IT0004286966 | ITALY 5.00 07-39 01/08S | Anleihen | EUR | 0.29% |
DE0001135325 | GERMANY 4.25 07-39 04/07A | Anleihen | EUR | 0.29% |
FR0013404969 | FRANCE 1.50 18-50 25/05A | Anleihen | EUR | 0.29% |
FR0012517027 | FRANCE 0.50 15-25 25/05A | Anleihen | EUR | 0.29% |
FR0013508470 | FRANCE 0.00 20-26 25/02A | Anleihen | EUR | 0.29% |
FR0010171975 | FRANCE 4.00 04-55 25/04A | Anleihen | EUR | 0.29% |
DE0001102432 | GERMANY 1.25 17-48 15/08A | Anleihen | EUR | 0.29% |
DE0001102424 | GERMANY 0.50 17-27 15/08A | Anleihen | EUR | 0.29% |
DE0001141828 | GERMANY 0.00 20-25 10/10A | Anleihen | EUR | 0.28% |
DE0001102457 | GERMANY 0.25 18-28 15/08A | Anleihen | EUR | 0.28% |
ES00000121G2 | SPAIN 4.80 08-24 31/01A | Anleihen | EUR | 0.28% |
IT0005323032 | ITALY 2.00 18-28 01/02S | Anleihen | EUR | 0.28% |
IT0005240350 | ITALY 2.45 16-33 01/09S | Anleihen | EUR | 0.28% |
FR0014002WK3 | FRANCE 0.00 21-31 25/11A | Anleihen | EUR | 0.27% |
FR0013234333 | FRANCE 1.75 17-39 25/06A | Anleihen | EUR | 0.27% |
ES0000012B39 | SPAIN 1.40 18-28 30/04A | Anleihen | EUR | 0.27% |
FR0013415627 | FRANCE 0.00 19-25 25/03A | Anleihen | EUR | 0.27% |
IT0003934657 | ITALY 4.00 05-37 01/02S | Anleihen | EUR | 0.27% |
ES0000012A89 | SPAIN 1.45 17-27 31/10A | Anleihen | EUR | 0.27% |
IT0004532559 | ITALY 5.00 09-40 01/09S | Anleihen | EUR | 0.26% |
FR0013257524 | FRANCE 2.00 17-48 25/05A | Anleihen | EUR | 0.26% |
ES00000121S7 | SPAIN 4.70 09-41 30/07A | Anleihen | EUR | 0.26% |
NL0010721999 | NETHERLANDS 2.75 14-47 15/01A | Anleihen | EUR | 0.26% |
DE0001135085 | GERMANY 4.75 98-28 04/07A | Anleihen | EUR | 0.26% |
FR0010870956 | FRANCE 4.00 09-60 25/04A | Anleihen | EUR | 0.25% |
IT0005024234 | ITALY 3.50 14-30 01/03S | Anleihen | EUR | 0.25% |
BE0000304130 | BELGIUM 5.00 04-35 28/03A | Anleihen | EUR | 0.25% |
DE0001102317 | GERMANY 1.50 13-23 15/05U | Anleihen | EUR | 0.25% |
DE0001141786 | BUNDSOBLIGATION 0.0 18-23 13/10A | Anleihen | EUR | 0.25% |
IT0005390874 | BUONI POLIENNAL 0.8500 19-27 15/01S | Anleihen | EUR | 0.25% |
ES0000012E85 | SPAIN 0.25 19-24 30/07A | Anleihen | EUR | 0.24% |
NL0009446418 | NETHERLANDS 3.75 10-42 15/01A | Anleihen | EUR | 0.24% |
ES0000012411 | SPAIN 5.75 01-32 30/07A | Anleihen | EUR | 0.24% |
DE0001102390 | GERMANY 0.50 16-26 15/02A | Anleihen | EUR | 0.24% |
DE0001102465 | GERMANY 0.25 19-29 11/01A | Anleihen | EUR | 0.24% |
DE0001102333 | GERMANY 1.75 14-24 15/02A | Anleihen | EUR | 0.24% |
ES0000012B88 | SPAIN 1.40 18-28 30/07A | Anleihen | EUR | 0.24% |
IT0005240830 | ITALY 2.20 17-27 01/06S | Anleihen | EUR | 0.24% |
DE0001102416 | ALLEMAGNE 0.25 17-27 15/02A | Anleihen | EUR | 0.23% |
IT0004898034 | ITALY 4.50 13-23 01/05S | Anleihen | EUR | 0.23% |
ES00000128Q6 | SPAIN 2.35 17-33 30/07A | Anleihen | EUR | 0.23% |
DE0001102523 | GERMANY 0.00 20-27 15/11U | Anleihen | EUR | 0.23% |
ES00000124C5 | SPAIN 5.15 13-28 31/10A | Anleihen | EUR | 0.23% |
DE0001141844 | GERMANY 0.00 21-26 09/10A | Anleihen | EUR | 0.23% |
ES0000012932 | SPAIN 4.20 05-37 31/01A | Anleihen | EUR | 0.23% |
IT0005274805 | ITALY 2.05 17-27 01/08S | Anleihen | EUR | 0.23% |
IT0005413684 | ITALY 0.30 20-23 15/08S | Anleihen | EUR | 0.23% |
DE0001102358 | GERMANY 1.50 14-24 15/05A | Anleihen | EUR | 0.23% |
IT0005340929 | ITALY 2.80 18-28 01/08S | Anleihen | EUR | 0.22% |
ES00000120N0 | SPAIN 4.90 07-40 30/07A | Anleihen | EUR | 0.22% |
DE0001102556 | GERMANY 0.00 21-28 15/11A | Anleihen | EUR | 0.22% |
NL0000102234 | NETHERLANDS 4.00 05-37 15/01A | Anleihen | EUR | 0.22% |
BE0000320292 | BELGIUM 4.25 10-41 28/03A | Anleihen | EUR | 0.22% |
IT0003535157 | ITALY 5.00 03-34 01/08S | Anleihen | EUR | 0.22% |
DE0001102440 | GERMANY 0.5 18-28 15/02A | Anleihen | EUR | 0.22% |
FR0013480613 | FRANCE ZCP 290420 | Anleihen | EUR | 0.22% |
DE0001102564 | GERMANY 0.00 21-31 15/08A | Anleihen | EUR | 0.22% |
IT0005433690 | ITALY 0.25 21-28 15/03S | Anleihen | EUR | 0.21% |
IT0003256820 | ITALY 5.75 02-33 01/02S | Anleihen | EUR | 0.21% |
DE0001102309 | GERMANY 1.50 13-23 15/02A | Anleihen | EUR | 0.21% |
IT0004923998 | ITALY 4.75 13-44 01/09S | Anleihen | EUR | 0.21% |
ES00000124H4 | SPAIN 5.15 13-44 31/10A | Anleihen | EUR | 0.21% |
DE0001102408 | GERMANY 0.00 16-26 15/08U | Anleihen | EUR | 0.21% |
IT0004953417 | ITALY 4.50 13-24 01/03S | Anleihen | EUR | 0.21% |
DE0001102481 | GERMANY 0.00 19-50 15/08U | Anleihen | EUR | 0.21% |
DE0001141778 | ALLEMAGNE 0.00 18-23 14/04A | Anleihen | EUR | 0.21% |
DE0001102507 | GERMANY 0.0 20-30 15/08A | Anleihen | EUR | 0.21% |
ES00000123C7 | SPAIN 5.90 11-26 30/07A | Anleihen | EUR | 0.21% |
ES0000012G26 | SPAIN 0.80 20-27 30/07A | Anleihen | EUR | 0.21% |
DE0001141794 | GERMANY 0.00 19-24 25/01A | Anleihen | EUR | 0.21% |
ES0000012E51 | SPAIN 1.45 19-29 29/01A | Anleihen | EUR | 0.20% |
ES0000012G34 | SPAIN (BON.ESTATADO) 1.25 20-30 31/10A | Anleihen | EUR | 0.20% |
ES00000124W3 | SPAIN 3.80 14-24 30/04A | Anleihen | EUR | 0.20% |
BE0000345547 | BELGIUM 0.80 18-28 22/06A | Anleihen | EUR | 0.20% |
DE0001102366 | GERMANY 1.00 14-24 15/08A | Anleihen | EUR | 0.20% |
IT0005416570 | ITALY 0.95 20-27 15/09S | Anleihen | EUR | 0.20% |
DE0001141836 | GERMANY 0.00 21-26 10/04A | Anleihen | EUR | 0.20% |
IT0005367492 | ITALY 1.75 19-24 01/07S | Anleihen | EUR | 0.20% |
NL0012171458 | NETHERLANDS 0.75 17-27 15/07A | Anleihen | EUR | 0.20% |
DE0001102382 | GERMANY 1.00 15-25 15/08A | Anleihen | EUR | 0.20% |
IT0004356843 | ITALY 4.75 08-23 01/08S | Anleihen | EUR | 0.20% |
IT0005344335 | ITALY 2.45 18-23 01/08S | Anleihen | EUR | 0.20% |
IT0004644735 | ITALY 4.50 10-26 01/03S | Anleihen | EUR | 0.20% |
IT0005210650 | ITALY 1.25 16-26 01/12S | Anleihen | EUR | 0.20% |
DE000NRW0LN6 | LAND NORDRHEIN- 0.2500 19-26 13/03A | Anleihen | EUR | 0.19% |
DE0001102499 | GERMANY 0.00 20-30 15/02A | Anleihen | EUR | 0.19% |
ES00000128P8 | SPAIN 1.50 17-27 30/04A | Anleihen | EUR | 0.19% |
ES00000127A2 | SPAIN 1.95 15-30 30/07A | Anleihen | EUR | 0.19% |
ES0000012B62 | SPAIN 0.35 18-23 30/07A | Anleihen | EUR | 0.19% |
ES00000128H5 | SPAIN 1.30 16-26 31/10A | Anleihen | EUR | 0.19% |
IT0005094088 | ITALY 1.65 15-32 01/03S | Anleihen | EUR | 0.19% |
BE0000341504 | BELGIUM 0.80 17-27 22/06A | Anleihen | EUR | 0.19% |
DE0001102473 | BUNDESREPUB. DE 0.0000 19-29 15/08A | Anleihen | EUR | 0.19% |
IT0005424251 | ITALY 0.00 20-24 15/01S | Anleihen | EUR | 0.19% |
IT0005383309 | ITALY 1.35 19-30 01/04S | Anleihen | EUR | 0.18% |
ES00000123X3 | SPAIN 4.40 13-23 31/10A | Anleihen | EUR | 0.18% |
IT0005413171 | ITALY 1.65 20-30 01/12S | Anleihen | EUR | 0.18% |
IT0005365165 | ITALY 3.00 19-29 01/02S | Anleihen | EUR | 0.18% |
DE0001102515 | GERMANY 0.00 20-35 15/05A | Anleihen | EUR | 0.18% |
ES00000128E2 | SPAIN 3.45 16-66 30/07A | Anleihen | EUR | 0.18% |
FR0014003513 | FRANCE 0.00 21-27 25/02A | Anleihen | EUR | 0.18% |
DE0001102325 | GERMANY 2.00 13-23 15/08A | Anleihen | EUR | 0.18% |
ES00000122E5 | SPAIN 4.65 10-25 30/07A | Anleihen | EUR | 0.17% |
DE0001104826 | GERMANY 0.00 20-22 15/12A | Anleihen | EUR | 0.17% |
ES0000012E69 | SPAIN 1.85 19-35 05/03A | Anleihen | EUR | 0.17% |
EU000A3KSXE1 | COMMUNAUTE EUROPEENN 0 21-31 22/06A | Anleihen | EUR | 0.17% |
FR0013479102 | FRANCE 20-23 25/02U | Anleihen | EUR | 0.17% |
ES00000128C6 | SPAIN 2.90 16-46 31/10A | Anleihen | EUR | 0.17% |
FR0014004QY2 | UNION NAT. INTERPRO. 0.01 21-31 25/11A | Anleihen | EUR | 0.17% |
IT0005045270 | ITALY 2.50 14-24 01/12S | Anleihen | EUR | 0.17% |
AT0000A04967 | AUSTRIA 4.15 06-37 15/03A | Anleihen | EUR | 0.17% |
IT0005273013 | ITALY 3.45 17-48 01/03S | Anleihen | EUR | 0.17% |
IT0005439275 | ITALY 0.00 21-24 15/04S | Anleihen | EUR | 0.17% |
IT0005422891 | ITALY 0.90 20-31 01/04S | Anleihen | EUR | 0.17% |
BE0000351602 | BELGIUM 0.0000 20-27 22/10A | Anleihen | EUR | 0.17% |
IT0005436693 | ITALY 0.6 21-31 01/08S | Anleihen | EUR | 0.17% |
BE0000332412 | BELGIUM 2.60 14-24 22/06A | Anleihen | EUR | 0.16% |
NL0010418810 | NETHERLANDS 1.75 13-23 15/07A | Anleihen | EUR | 0.16% |
IT0001086567 | ITALY 7.25 96-26 01/11S | Anleihen | EUR | 0.16% |
IT0005358806 | ITALY BUONI POLIENNA 3.35 19-35 01/06S | Anleihen | EUR | 0.16% |
BE0000334434 | BELGIUM 0.80 15-25 22/06A | Anleihen | EUR | 0.16% |
EU000A1G0EB6 | EUROPEAN FIN STAB 0.4 19-26 26/01A | Anleihen | EUR | 0.16% |
ES0000012F43 | SPAIN 0.60 19-29 31/10A | Anleihen | EUR | 0.16% |
IT0005445306 | ITALY 0.5 21-28 15/07S | Anleihen | EUR | 0.16% |
DE0001102549 | GERMANY 0.00 21-36 15/05A | Anleihen | EUR | 0.16% |
ES0000012B47 | SPAIN 2.70 18-48 31/10A | Anleihen | EUR | 0.16% |
IT0005162828 | ITALY 2.70 16-47 01/03S | Anleihen | EUR | 0.16% |
DE0001102531 | GERMANY 0.00 21-31 15/02A | Anleihen | EUR | 0.16% |
ES0000012H41 | SPAIN 0.1 21-31 30/04A | Anleihen | EUR | 0.16% |
ES0000012F84 | SPAIN 0.00 20-23 30/04A | Anleihen | EUR | 0.16% |
IT0005282527 | ITALY 1.45 17-24 15/10S | Anleihen | EUR | 0.15% |
IT0005454050 | BUONI POLIENNAL 0.0000 21-24 30/01S | Anleihen | EUR | 0.15% |
FR0013515806 | FRANCE 0.50 20-40 25/05A | Anleihen | EUR | 0.15% |
ES0000012F76 | SPAIN 0.50 20-30 30/04A | Anleihen | EUR | 0.15% |
IT0005403396 | ITALY 0.95 20-30 01/08S | Anleihen | EUR | 0.15% |
IT0005083057 | ITALY 3.25 14-46 01/09S | Anleihen | EUR | 0.15% |
NL0010071189 | NETHERLANDS 2.50 12-33 15/01A | Anleihen | EUR | 0.15% |
IT0005170839 | ITALY 1.60 16-26 01/06S | Anleihen | EUR | 0.15% |
ES0000012G42 | SECRETAR A GENERAL 1.2 20-40 31/10A | Anleihen | EUR | 0.15% |
IT0005363111 | BUONI POLIENNAL 3.8500 18-49 01/09S | Anleihen | EUR | 0.15% |
ES00000127Z9 | SPAIN 1.95 16-26 30/04A | Anleihen | EUR | 0.15% |
DE000A2LQSH4 | KREDITANSTALT FUER W 0.75 18-28 28/06A | Anleihen | EUR | 0.15% |
NL0011220108 | NETHERLANDS 0.25 15-25 15/07A | Anleihen | EUR | 0.15% |
IT0005386245 | ITALY 0.3500 19-25 01/02S | Anleihen | EUR | 0.15% |
ES0000012G91 | SPAIN 0.00 20-26 31/01A | Anleihen | EUR | 0.14% |
IT0005449969 | ITALY 0.95 21-31 01/12S | Anleihen | EUR | 0.14% |
ES00000123U9 | SPAIN 5.40 13-23 31/01A | Anleihen | EUR | 0.14% |
NL0012818504 | ROYAUME PAYS-BAS 0.75 18-28 15/07A | Anleihen | EUR | 0.14% |
NL0011819040 | NETHERLANDS 0.50 16-26 15/07A | Anleihen | EUR | 0.14% |
IT0005398406 | BUONI POLIENNALI TES 2.45 20-50 01/09S | Anleihen | EUR | 0.14% |
XS2149270477 | UBS AG LONDON BRANCH 0.75 20-23 21/04A | Anleihen | EUR | 0.14% |
NL0012650469 | NETHERLANDS 0.00 17-24 15/01U | Anleihen | EUR | 0.14% |
IT0005321325 | ITALIE 2.95 17-38 01/09S | Anleihen | EUR | 0.14% |
IT0005001547 | ITALY 3.75 14-24 01/09S | Anleihen | EUR | 0.14% |
ES0000012H33 | SPAIN 0.00 21-24 31/05A | Anleihen | EUR | 0.14% |
FR0013154028 | FRANCE 1.75 15-66 25/05A | Anleihen | EUR | 0.14% |
IT0005377152 | ITALY 3.10 19-40 01/03S | Anleihen | EUR | 0.14% |
DE0001141802 | GERMANY 0.00 19-24 18/10A | Anleihen | EUR | 0.13% |
ES0000012I08 | SPAIN 0.00 21-28 31/01A | Anleihen | EUR | 0.13% |
ES0000012G00 | SPAIN 1.00 20-50 31/10A | Anleihen | EUR | 0.13% |
ES00000126B2 | SPAIN 2.75 14-24 31/10A | Anleihen | EUR | 0.13% |
IT0005127086 | ITALY 2.00 15-25 01/12S | Anleihen | EUR | 0.13% |
IT0004513641 | ITALY 5.00 09-25 01/03S | Anleihen | EUR | 0.13% |
IT0005325946 | ITALY 0.95 18-23 01/03S | Anleihen | EUR | 0.13% |
IT0005246340 | ITALY 1.85 17-24 15/05S | Anleihen | EUR | 0.13% |
DE0001141810 | GERMANY 0.00 20-25 11/04A | Anleihen | EUR | 0.13% |
AT0000A1K9C8 | AUSTRIA 0.75 16-26 20/10A | Anleihen | EUR | 0.13% |
IT0005215246 | ITALY 0.65 16-23 15/10S | Anleihen | EUR | 0.13% |
BE0000324336 | BELGIUM 4.50 11-26 28/03A | Anleihen | EUR | 0.13% |
IT0005370306 | ITALY TB 2.10 19-26 15/07S | Anleihen | EUR | 0.13% |
BE0000347568 | BELGIUM 0.9 19-29 22/06A | Anleihen | EUR | 0.12% |
NL0010733424 | NETHERLANDS 2.00 14-24 15/07A | Anleihen | EUR | 0.12% |
IT0005402117 | ITALY 1.45 20-36 01/03S | Anleihen | EUR | 0.12% |
BE0000335449 | BELGIUM 1.00 15-31 22/06A | Anleihen | EUR | 0.12% |
PTOTEVOE0018 | PORTUGAL 2.125 18-28 17/10A | Anleihen | EUR | 0.12% |
IT0005172322 | ITALY BTP 0.95 16-23 15/03S | Anleihen | EUR | 0.12% |
NL0015031501 | NETHERLANDS 0.00 20-27 15/01A | Anleihen | EUR | 0.12% |
PTOTEAOE0021 | PORTUGAL 4.95 08-23 25/10A | Anleihen | EUR | 0.12% |
ES00000127G9 | SPAIN 2.15 15-25 31/10A | Anleihen | EUR | 0.12% |
BE0000331406 | BELGIUM 3.75 13-45 22/06A | Anleihen | EUR | 0.12% |
IT0005425233 | ITALY 1.70 20-51 01/09S | Anleihen | EUR | 0.12% |
ES0000012I32 | SPAIN 0.5 21-31 31/10A | Anleihen | EUR | 0.12% |
AT0000A1VGK0 | AUSTRIA 0.50 17-27 20/04A | Anleihen | EUR | 0.12% |
EU000A3K4C42 | EUROPEAN UNION 0.4 21-37 04/02A | Anleihen | EUR | 0.11% |
IT0005437147 | ITALY 0.00 -26 01/04U | Anleihen | EUR | 0.11% |
IT0005177909 | ITALY 2.25 16-36 01/09S | Anleihen | EUR | 0.11% |
IT0005452989 | ITALY 21-24 15/08U | Anleihen | EUR | 0.11% |
XS1767931121 | BANCO SANTANDER SA 2.125 18-28 08/02A | Anleihen | EUR | 0.11% |
DE000NRW0KM0 | LAND NORDRHEIN WEST 1.75 17-57 26/10A | Anleihen | EUR | 0.11% |
DE0001104834 | GERMANY 0.00 21-23 10/03A | Anleihen | EUR | 0.11% |
IE00B4TV0D44 | IRELAND 5.40 09-25 13/03A | Anleihen | EUR | 0.11% |
IT0005421703 | ITALY 1.80 20-41 01/03S | Anleihen | EUR | 0.11% |
DE000A1R0709 | KRED.ANST.WIEDER.EMTN 1.50 14-24 11/06A | Anleihen | EUR | 0.11% |
ES00000126Z1 | SPAIN 1.60 15-25 30/04A | Anleihen | EUR | 0.11% |
DE0001104842 | GERMANY 0.00 21-23 16/06A | Anleihen | EUR | 0.11% |
XS1641457277 | BEI 1.50 17-47 15/11A | Anleihen | EUR | 0.11% |
FR0013403441 | SOCIETE GENERALE 1.25 19-24 15/02A | Anleihen | EUR | 0.11% |
XS1247736793 | EUROP.INVEST.BK 0.875 15-24 13/09A | Anleihen | EUR | 0.11% |
EU000A3KT6B1 | COMMUNAUTE EUROPEENN 0.45 21-41 20/07A | Anleihen | EUR | 0.11% |
XS1420337633 | HOLCIM FINANCE 1.375 16-23 26/05A | Anleihen | EUR | 0.11% |
EU000A3KNYF7 | COMMUNAUTE EUROPEENN 0 21-26 30/03A | Anleihen | EUR | 0.10% |
FR0013476553 | BANQUE FEDERATIVE DU 0.75 20-30 17/01A | Anleihen | EUR | 0.10% |
EU000A284451 | COMMUNAUTE EUROPEENN 0 20-25 17/11A | Anleihen | EUR | 0.10% |
DE000A3H3E76 | KREDITANSTALT FUER W 0 21-26 09/03A | Anleihen | EUR | 0.10% |
BE0000338476 | BELGIUM 1.60 16-47 22/06A | Anleihen | EUR | 0.10% |
FR0013344181 | CADES 0.125 18-23 20/06A | Anleihen | EUR | 0.10% |
PTOTE5OE0007 | PORTUGAL 4.10 06-37 15/04A | Anleihen | EUR | 0.10% |
IT0005433195 | ITALY 0.95 21-37 01/03S | Anleihen | EUR | 0.10% |
XS2341719503 | DNB BOLIGKREDITT AS 0.01 21-28 12/05A | Anleihen | EUR | 0.10% |
IT0005438004 | BUONI POLIENNAL 1.5000 21-45 30/04S | Anleihen | EUR | 0.10% |
BE0000352618 | BELGIUM 0.00 21-31 22/10U | Anleihen | EUR | 0.10% |
AT0000A1ZGE4 | AUSTRIA 0.75 18-28 20/02A | Anleihen | EUR | 0.10% |
DE000A2YNZ16 | KFW 0.0500 19-34 29/09A | Anleihen | EUR | 0.10% |
IT0005419848 | BUONI POLIENNAL 0.5000 20-26 01/02S | Anleihen | EUR | 0.10% |
AT0000A0DXC2 | AUSTRIA 4.85 09-26 15/03A | Anleihen | EUR | 0.10% |
PTOTEUOE0019 | PORTUGAL 4.125 17-27 14/04A | Anleihen | EUR | 0.10% |
DE0001135176 | GERMANY 5.50 00-31 04/01A | Anleihen | EUR | 0.10% |
BE0000348574 | BELGIUM 1.7 19-50 05/02A | Anleihen | EUR | 0.10% |
NL0014555419 | NETHERLANDS 0.00 20-30 15/07A | Anleihen | EUR | 0.10% |
NL00150006U0 | NETHERLANDS 0.00 21-31 15/07A | Anleihen | EUR | 0.10% |
IE00BV8C9418 | IRELAND 1.00 16-26 15/05A | Anleihen | EUR | 0.10% |
AT0000A269M8 | AUSTRIA 0.5 19-29 20/02A | Anleihen | EUR | 0.10% |
BE0000333428 | BELGIUM 3.00 14-34 22/06A | Anleihen | EUR | 0.10% |
NL0013332430 | NETHERLANDS 0.25 19-29 14/02A | Anleihen | EUR | 0.10% |
AT0000A1FAP5 | AUSTRIA 1.20 15-25 20/10A | Anleihen | EUR | 0.10% |
XS0505157965 | BEI 4.00 10-30 15/04A | Anleihen | EUR | 0.09% |
XS0807336077 | BEI 2.75 12-25 15/09A | Anleihen | EUR | 0.09% |
BE0000349580 | BELGIUM 0.1000 20-30 22/06A | Anleihen | EUR | 0.09% |
PTOTEWOE0017 | PORTUGAL 2.25 18-34 18/04A | Anleihen | EUR | 0.09% |
IT0005217390 | ITALY 2.80 16-67 01/03S | Anleihen | EUR | 0.09% |
XS2207976783 | UNICREDIT SPA FL.R 20-27 22/07A | Anleihen | EUR | 0.09% |
PTOTEQOE0015 | PORTUGAL 5.65 13-24 15/02A | Anleihen | EUR | 0.09% |
IE00BV8C9186 | IRELAND 2.00 15-45 18/02A | Anleihen | EUR | 0.09% |
BE0000346552 | BELGIUM 1.25 18-33 22/04A | Anleihen | EUR | 0.09% |
IT0005408502 | ITALY 1.8500 20-25 01/07S | Anleihen | EUR | 0.09% |
IT0005090318 | ITALY 1.50 15-25 01/06S | Anleihen | EUR | 0.09% |
DE000A2DADM7 | DAIMLER AG 0.85 17-25 28/02A | Anleihen | EUR | 0.09% |
PTOTETOE0012 | PORTUGAL 2.875 16-26 21/07A | Anleihen | EUR | 0.09% |
DE0001030708 | GERMANY 0.0000 20-30 15/08A | Anleihen | EUR | 0.09% |
XS1633248148 | CPPIB CAPITAL INC 0.375 17-24 20/06' | Anleihen | EUR | 0.09% |
XS1708335978 | VERIZON COMMUNICATION 2.875 17-38 15/01A | Anleihen | EUR | 0.09% |
AT0000A2CQD2 | AUSTRIA 0.00 20-30 20/02A | Anleihen | EUR | 0.09% |
BE0000342510 | BELGIUM 0.50 17-24 22/10A | Anleihen | EUR | 0.09% |
PTOTEMOE0035 | PORTUGAL 0.70 20-27 15/10A | Anleihen | EUR | 0.09% |
EU000A3KM903 | COMMUNAUTE EUROPEENN 0.2 21-36 16/03A | Anleihen | EUR | 0.09% |
IE00BJ38CR43 | IRELAND 2.40 14-30 15/05A | Anleihen | EUR | 0.09% |
NL0013552060 | NETHERLANDS 0.50 19-40 15/01A | Anleihen | EUR | 0.09% |
BE0000326356 | BELGIUM 4.00 12-32 28/03A | Anleihen | EUR | 0.09% |
DE0001104859 | BUNDESSCHATZANW 0.00 21-23 15/09A | Anleihen | EUR | 0.08% |
PTOTEKOE0011 | PORTUGAL 2.875 15-25 15/10A | Anleihen | EUR | 0.08% |
AT0000A105W3 | AUSTRIA 1.75 13-23 20/10A | Anleihen | EUR | 0.08% |
PTOTEXOE0024 | PORTUGAL 1.95 19-29 15/06A | Anleihen | EUR | 0.08% |
XS0219724878 | BEI 4.00 05-37 15/10A | Anleihen | EUR | 0.08% |
XS0427291751 | EUROP.INVEST.BK 4.50 09-25 15/10A | Anleihen | EUR | 0.08% |
IE00BH3SQ895 | IRALNDE 1.1 19-29 16/01A | Anleihen | EUR | 0.08% |
BE0000328378 | BELGIUM 2.25 13-23 22/06A | Anleihen | EUR | 0.08% |
FR0014002JM6 | FRANCE 0.50 21-44 25/06A | Anleihen | EUR | 0.08% |
AT0000A2QRW0 | AUSTRIA 0.00 21-25 20/04A | Anleihen | EUR | 0.08% |
AT0000A1XML2 | AUSTRIA 2.10 17-17 20/09A | Anleihen | EUR | 0.08% |
EU000A1G0DW4 | EFSF 1.80 17-48 10/07A | Anleihen | EUR | 0.08% |
FR0010775486 | CFFL 5.375 09-24 08/07A | Anleihen | EUR | 0.08% |
XS0452314536 | ASSICURAZ GENERALI 5.125 09-24 16/09A | Anleihen | EUR | 0.08% |
EU000A284469 | COMMUNAUTE EUROPEENN 0.3 20-50 17/11A | Anleihen | EUR | 0.08% |
AT0000A2NW83 | AUSTRIA 0.00 21-31 20/02A | Anleihen | EUR | 0.08% |
AT0000A1PE50 | AUSTRIA 0.00 16-23 15/07U | Anleihen | EUR | 0.08% |
IT0005384497 | ITALY 0.05 19-23 15/01S | Anleihen | EUR | 0.08% |
XS0290050524 | BEI 4.125 07-24 15/04A | Anleihen | EUR | 0.08% |
ES0000012I24 | SPAIN 0.85 21-37 30/07A | Anleihen | EUR | 0.08% |
XS1824240136 | BFCM 2.5 18-28 25/05A | Anleihen | EUR | 0.08% |
XS2194192527 | INFINEON TECHNO 2.0000 20-32 24/06A | Anleihen | EUR | 0.08% |
IT0005454241 | REPUBLIQUE ITALIENNE 0.00 21-26 01/08S | Anleihen | EUR | 0.08% |
PTOTELOE0028 | PORTUGAL 0.475 20-30 18/10A | Anleihen | EUR | 0.08% |
FR0014004J31 | FRANCE 0.75 21-53 25/05A | Anleihen | EUR | 0.08% |
AT0000A10683 | AUSTRIA 2.40 13-34 23/05A | Anleihen | EUR | 0.08% |
XS2169281487 | CRH FUNDING B.V. 1.625 20-30 05/05A | Anleihen | EUR | 0.08% |
XS1874127902 | SIEMENS FIN NV 1.3750 18-30 06/09A | Anleihen | EUR | 0.08% |
FR0013368602 | SOCIETE GENERALE 2.125 18-28 27/09A | Anleihen | EUR | 0.08% |
EU000A3KTGW6 | COMMUNAUTE EUROPEENN 0.7 21-51 06/07A | Anleihen | EUR | 0.08% |
XS1603892149 | MORGAN STANLEY 1.875 17-27 27/04A | Anleihen | EUR | 0.08% |
AT0000A185T1 | AUSTRIA 1.65 14-24 21/10A | Anleihen | EUR | 0.07% |
FR0013284205 | GECINA 1.375 17-28 26/01A | Anleihen | EUR | 0.07% |
FR0013300605 | KLEPIERRE 1.625 17-32 13/12A | Anleihen | EUR | 0.07% |
XS0874864860 | TELEFONICA EMISIONES 3.987 13-23 23/01A | Anleihen | EUR | 0.07% |
XS1180130939 | RABOBANK 1.375 15-27 03/02A | Anleihen | EUR | 0.07% |
XS1508450688 | UNICREDIT SPA 2.125 16-26 24/10A | Anleihen | EUR | 0.07% |
XS1038708522 | UNIBAIL RODAMCO 2.50 14-24 26/02A | Anleihen | EUR | 0.07% |
BE0000336454 | BELGIUM 1.90 15-38 22/06A | Anleihen | EUR | 0.07% |
XS1823623878 | CNH INDUSTRIAL 1.875 18-26 19/01A | Anleihen | EUR | 0.07% |
XS1615079974 | JPMORGAN CHASE & CO FL.R 17-28 18/05A | Anleihen | EUR | 0.07% |
BE0000340498 | BELGIUM 2.15 16-66 22/06A | Anleihen | EUR | 0.07% |
FR0012159812 | CADES 1.375 14-24 25/11A | Anleihen | EUR | 0.07% |
IT0005283491 | UNIONE DI BANCHE ITA 1.125 17-27 04/10A | Anleihen | EUR | 0.07% |
XS1652866002 | TERNA SPA 1.375 17-27 26/07A | Anleihen | EUR | 0.07% |
XS1458408561 | GOLDMAN SACHS GROUP 1.625 16-26 27/07A | Anleihen | EUR | 0.07% |
EU000A1G0DJ1 | EFSF 1.375 16-47 31/05A | Anleihen | EUR | 0.07% |
XS2055079904 | WINTERSHALL DEA 1.8230 19-31 25/09A | Anleihen | EUR | 0.07% |
DE000NRW23J9 | NORTH RHINE-W 1.875 14-24 15/03A | Anleihen | EUR | 0.07% |
XS1938387237 | EURO.INV.BK 0.625 19-29 22/01A | Anleihen | EUR | 0.07% |
XS1377679961 | BRITISH TELECOM 1.75 16-26 10/03A | Anleihen | EUR | 0.07% |
EU000A1G0DR4 | EFSF 0.75 17-27 03/05A | Anleihen | EUR | 0.07% |
FR0013264488 | REGIE AUTONOME TRANS 0.875 17-27 25/05A | Anleihen | EUR | 0.07% |
XS1619643015 | MERLIN PROPERTIES 1.75 17-25 26/05A | Anleihen | EUR | 0.07% |
XS2148372696 | NESTLE FINANCE INTER 1.125 20-26 01/04A | Anleihen | EUR | 0.07% |
XS1177459531 | ENAGAS FIN REGS 1.25 15-25 06/02A | Anleihen | EUR | 0.07% |
FR0013421799 | BPCE SFH - SOCI 0.6250 19-31 29/05A | Anleihen | EUR | 0.07% |
EU000A1G0AT6 | EFSF 3.375 12-37 03/04A | Anleihen | EUR | 0.07% |
XS1794394848 | ANZ NEW ZEALAND 1.125 18-25 20/03A | Anleihen | EUR | 0.07% |
FR0013516184 | CREDIT AGRICOLE FL.R 20-30 05/06A | Anleihen | EUR | 0.07% |
FR0013359197 | ORANGE SA 1.00 18-25 12/09A | Anleihen | EUR | 0.07% |
XS1520899532 | ABBVIE INC 1.375 16-24 17/05A | Anleihen | EUR | 0.07% |
FR0013357845 | MICHELIN SA 0.875 18-25 03/09A | Anleihen | EUR | 0.07% |
XS1505573482 | SNAM SPA 0.875 16-26 25/10A | Anleihen | EUR | 0.07% |
XS1394055872 | EUROP.INVEST.BK 0.375 16-26 14/04A | Anleihen | EUR | 0.07% |
XS1935139995 | ABN AMRO BANK 0.875 19-24 15/01A | Anleihen | EUR | 0.07% |
DE000NWB0584 | NRW BANK 0.50 16-26 11/05A | Anleihen | EUR | 0.07% |
XS1750122225 | BFCM 0.75 18-25 17/07A | Anleihen | EUR | 0.07% |
XS2023631489 | NIBC BANK NV 0.875 19-25 08/07A | Anleihen | EUR | 0.07% |
BE0000339482 | BELGIUM 0.20 16-23 22/10A | Anleihen | EUR | 0.07% |
XS1900750107 | PROCTER & GAMBLE CO 0.625 18-24 30/10A | Anleihen | EUR | 0.07% |
FR0013518487 | UNEDIC 0.25 20-29 25/11A | Anleihen | EUR | 0.07% |
XS2075811948 | JPMORGAN CHASE & CO FL.R 19-32 04/11A | Anleihen | EUR | 0.07% |
BE0002602804 | KBC GROUP NV 0.875 18-23 27/06A | Anleihen | EUR | 0.07% |
DE000NRW0L85 | GERMANY 0.2 20-27 31/03A | Anleihen | EUR | 0.07% |
AT0000A28KX7 | REPUBLIC OF AUS 0.0000 19-24 15/07A | Anleihen | EUR | 0.07% |
DE000A1RQCP0 | LAND HESSEN 0.25 15-25 10/06A | Anleihen | EUR | 0.07% |
XS1319652902 | NESTLE FINANCE INTL 0.75 15-23 16/05A | Anleihen | EUR | 0.07% |
EU000A3KTGV8 | COMMUNAUTE EUROPEENN 0 21-26 06/07A | Anleihen | EUR | 0.07% |
FR0012467991 | CAISSE D AMORT DETTE 0.50 15-23 25/05A | Anleihen | EUR | 0.07% |
XS2388495942 | BANQUE EUROPEENNE D IN 0.00 21-26 22/12A | Anleihen | EUR | 0.07% |
NL0015614579 | NETHERLANDS 0.00 20-52 15/01A | Anleihen | EUR | 0.07% |
DE000A2DAJ57 | KFW 0.125 17-24 04/10A | Anleihen | EUR | 0.07% |
EU000A287074 | COMMUNAUTE EUROPEENN 0 21-28 02/02A | Anleihen | EUR | 0.07% |
XS2251371022 | BEI 0.00 20-28 28/03A | Anleihen | EUR | 0.07% |
XS1547374212 | BK NEDERLANDSE GEM 0.25 17-24 10/01A | Anleihen | EUR | 0.07% |
EU000A3KWCF4 | EUROPEAN UNION 0.00 21-28 04/10A | Anleihen | EUR | 0.07% |
DE000A2DAJD3 | LOWER SAXONY 0.25 17-24 02/06A | Anleihen | EUR | 0.07% |
XS1999841445 | KFW 0.0100 19-27 05/05A | Anleihen | EUR | 0.07% |
DE000NWB0618 | NRW BANK 0.25 17-24 16/05A | Anleihen | EUR | 0.07% |
XS2152799529 | CANADA 0.2 20-25 07/04A | Anleihen | EUR | 0.07% |
FR0013399110 | CREDIT MUTUEL HOME LOAN0.25 19-24 30/04A | Anleihen | EUR | 0.07% |
XS2209794408 | KREDITANSTALT FUER W 0 20-28 28/07A | Anleihen | EUR | 0.07% |
EU000A3KRJQ6 | COMMUNAUTE EUROPEENN 0 21-29 25/05A | Anleihen | EUR | 0.07% |
XS2120068403 | BEI 0.00 20-25 25/03A | Anleihen | EUR | 0.07% |
DE000A2TSTS8 | KFW 0.0000 19-24 04/07A | Anleihen | EUR | 0.07% |
XS2342060360 | BARCLAYS PLC 1.106 21-32 12/05A | Anleihen | EUR | 0.07% |
XS1944456018 | IBM CORP 0.375 19-23 31/01A | Anleihen | EUR | 0.07% |
XS2102916793 | MERCK FIN SERVI 0.1250 20-25 16/07A | Anleihen | EUR | 0.07% |
DE000A2YNW43 | LAND NIEDERSACH 0.0000 19-26 10/07A | Anleihen | EUR | 0.07% |
XS2105085208 | BANQUE DE DEVELOPPEM 0.05 20-30 21/01A | Anleihen | EUR | 0.07% |
XS1790280694 | KOMMUNEKREDIT EMTN 0.25 18-23 15/05A | Anleihen | EUR | 0.07% |
DE000A254S41 | SAXONY-ANHALT 0 20-25 30/03A | Anleihen | EUR | 0.07% |
DE000NRW0GS5 | LAND NORDRHEIN-WES 0.20 15-23 17/04A | Anleihen | EUR | 0.07% |
DE000A289NY2 | GERMANY 0.00 20-25 15/09A | Anleihen | EUR | 0.07% |
EU000A283859 | COMMUNAUTE EUROPEENN 0 20-30 27/10A | Anleihen | EUR | 0.07% |
DE000A2GSNV2 | KFW 0.125 18-23 21/03A | Anleihen | EUR | 0.07% |
XS2050406094 | DH EUROPE FIN 0.75 19-31 18/09A | Anleihen | EUR | 0.07% |
EU000A3KP2Z3 | COMMUNAUTE EUROPEENN 0.25 21-36 27/04A | Anleihen | EUR | 0.07% |
DE000A289RC9 | KREDITANSTALT FUER W 0 20-23 08/04A | Anleihen | EUR | 0.07% |
EU000A1G0EF7 | EUROPEAN FINL STABIL 0.00 19-23 17/07A | Anleihen | EUR | 0.07% |
XS2148404994 | BEI 0.0000 20-23 23/05A | Anleihen | EUR | 0.07% |
FR0013463551 | CAISSE REFINANCEMENT 0.01 19-26 27/11A | Anleihen | EUR | 0.07% |
EU000A3KT6A3 | COMMUNAUTE EUROPEENN 0 21-31 20/07A | Anleihen | EUR | 0.07% |
IE00BKFVC899 | IRELAND 0.20 20-30 18/10A | Anleihen | EUR | 0.07% |
XS2051659915 | LEASEPLAN CORPORATION 0.1250 19-23 13/0 | Anleihen | EUR | 0.07% |
FR0013448669 | RCI BANQUE SA 0.2500 19-23 08/03A | Anleihen | EUR | 0.07% |
XS2199348231 | KOOKMIN BANK 0.052 20-25 15/07A | Anleihen | EUR | 0.07% |
XS2350756446 | ING GROUP NV 0.875 21-32 09/06A | Anleihen | EUR | 0.07% |
EU000A1Z99P9 | MECANISME EUROPEEN D 0.01 21-31 04/05A | Anleihen | EUR | 0.07% |
DE000HV2AYJ2 | UNICREDIT BANK AG 0.01 21-29 21/05A | Anleihen | EUR | 0.07% |
XS2349788377 | MITSUBISHI UFJ FINAN 0.337 21-27 08/06A | Anleihen | EUR | 0.07% |
XS2338355105 | GOLDMAN SACHS GROUP FL.R 21-24 30/04A | Anleihen | EUR | 0.07% |
XS2321427408 | BANK OF AMERICA CORP FL.R 21-31 22/03A | Anleihen | EUR | 0.07% |
FR0014005FC8 | CADES 0.125 21-31 15/09A | Anleihen | EUR | 0.07% |
XS2325562697 | FRESENIUS FINANCE IR 0.875 21-31 01/04A | Anleihen | EUR | 0.07% |
XS2363117321 | AMERICAN HONDA FINAN 0.3 21-28 09/07A | Anleihen | EUR | 0.07% |
XS2349343090 | HSBC INSTITUTIONAL T 0.75 21-28 23/06A | Anleihen | EUR | 0.07% |
XS2361416915 | LATVIA GOVT INTL BOND 0.0 21-29 24/01A | Anleihen | EUR | 0.07% |
CH0595205532 | UBS GROUP SA 0.625 21-33 24/02A | Anleihen | EUR | 0.07% |
DE000NRW0KF4 | LAND NORDRHEIN WEST 1.55 17-48 16/06A | Anleihen | EUR | 0.07% |
XS2242633258 | PEPSICO INC 0.4000 20-32 09/10A | Anleihen | EUR | 0.07% |
EU000A283867 | COMMUNAUTE EUROPEENN 0.1 20-40 27/10A | Anleihen | EUR | 0.07% |
BE0000343526 | BELGIUM 2.25 17-57 22/06A | Anleihen | EUR | 0.07% |
XS2149207354 | GOLDMAN SACHS GROUP 3.375 20-25 27/03U | Anleihen | EUR | 0.07% |
FI4000079041 | FINLAND 2.00 14-24 15/04A | Anleihen | EUR | 0.07% |
CH0591979627 | CREDIT SUISSE GROUP 0.625 21-33 18/01A | Anleihen | EUR | 0.06% |
XS2262065233 | TENNET HOLDING B.V 0.5 20-40 30/11A | Anleihen | EUR | 0.06% |
FI4000197959 | FINLAND 0.50 16-26 15/04A | Anleihen | EUR | 0.06% |
IE00BH3SQB22 | IRELAND 1.50 19-50 15/05A | Anleihen | EUR | 0.06% |
PTOTEROE0014 | PORTUGAL 3.875 14-30 15/02A | Anleihen | EUR | 0.06% |
IE00B6X95T99 | IRELAND 3.40 14-24 18/03A | Anleihen | EUR | 0.06% |
DE0001102572 | GERMANY 0.00 21-52 15/08A | Anleihen | EUR | 0.06% |
FR0014001NN8 | FRANCE 0.50 21-72 25/05A | Anleihen | EUR | 0.06% |
IE00BMQ5JL65 | IRELAND 0.00 21-31 18/10A | Anleihen | EUR | 0.06% |
AT0000A0U299 | AUSTRIA 3.80 12-62 26/01A | Anleihen | EUR | 0.06% |
NL0015000LS8 | NETHERLANDS GOVERNMENT 0.0 21-29 15/01A | Anleihen | EUR | 0.06% |
EU000A3KRJR4 | COMMUNAUTE EUROPEENN 0.75 21-47 25/05A | Anleihen | EUR | 0.06% |
AT0000A2KQ43 | AUSTRIA 0.00 20-40 20/10A | Anleihen | EUR | 0.06% |
AT0000A1K9F1 | AUSTRIA 1.50 16-47 20/02A | Anleihen | EUR | 0.06% |
DE000A2LQH10 | KFW 0.2500 18-25 15/09A | Anleihen | EUR | 0.06% |
DE000NRW0LC9 | NORDRHEIN-WESTFALEN 1.95 18-78 26/09A | Anleihen | EUR | 0.06% |
XS0542825160 | AUTOBAHN SCHNELL 3.375 10-25 22/09A | Anleihen | EUR | 0.06% |
DE000NRW0JJ8 | LAND NORDRHEIN WEST 1.25 16-36 12/05A | Anleihen | EUR | 0.06% |
FI4000278551 | FINLAND 0.50 17-27 15/09A | Anleihen | EUR | 0.06% |
IE00B4S3JD47 | IRELAND 3.90 13-23 20/03A | Anleihen | EUR | 0.06% |
IE00BDHDPR44 | IRELAND 0.90 18-28 15/05A | Anleihen | EUR | 0.06% |
EU000A285VM2 | COMMUNAUTE EUROPEENN 0 20-35 01/12A | Anleihen | EUR | 0.06% |
FI4000037635 | FINLAND 2.75 12-28 04/07A | Anleihen | EUR | 0.06% |
SI0002103974 | SLOVENIA 0.200 20-23 31/03A | Anleihen | EUR | 0.06% |
AT0000A0VRQ6 | AUSTRIA 3.15 12-44 20/06A | Anleihen | EUR | 0.06% |
XS2343538372 | BANQUE EUROPEENNE INV 0.00 21-28 28/09U | Anleihen | EUR | 0.06% |
FI4000046545 | FINLAND 2.625 12-42 04/07A | Anleihen | EUR | 0.06% |
DE0001040947 | LAND BADEN WUERT 2.00 13-23 13/11A | Anleihen | EUR | 0.06% |
BE0000344532 | BELGIUM 1.45 17-37 22/06A | Anleihen | EUR | 0.05% |
DE000A2DAR65 | KFW 0.625 17-27 22/02A | Anleihen | EUR | 0.05% |
FI4000006176 | FINLAND 4.00 09-25 04/07A | Anleihen | EUR | 0.05% |
XS1599193403 | ROMANIA 2.375 17-27 19/04A | Anleihen | EUR | 0.05% |
XS1787328548 | LANDWIRT.RENTENBANK 0.50 18-25 06/03A | Anleihen | EUR | 0.05% |
DE000A1RQCY2 | LAND HESSEN 0.375 16-26 06/07A | Anleihen | EUR | 0.05% |
EU000A1G0D62 | EFSF 0.40 18-25 17/02A | Anleihen | EUR | 0.05% |
EU000A1GY6W8 | EUROPEAN UNION 3.75 12-42 04/04A | Anleihen | EUR | 0.05% |
PTOTEBOE0020 | PORTUGAL 4.10 15-45 15/02A | Anleihen | EUR | 0.05% |
XS2168048564 | BEI 0.0000 20-27 17/06A | Anleihen | EUR | 0.05% |
XS2102988354 | BANQUE INTERNATIONAL 0 20-27 16/01A | Anleihen | EUR | 0.05% |
EU000A1G0EH3 | EUROPEAN FINANCIAL S 0 20-23 24/04A | Anleihen | EUR | 0.05% |
BE0000350596 | BELGIUM 0.4000 20-40 22/06A | Anleihen | EUR | 0.05% |
DE000CZ45VS1 | COMMERZBANK AG 0.01 20-30 10/03A | Anleihen | EUR | 0.05% |
ES0000012F92 | SPAIN 0.00 20-25 31/01U | Anleihen | EUR | 0.05% |
EU000A1G0DB8 | EFSF 2.35 14-44 29/08A | Anleihen | EUR | 0.05% |
FI4000219787 | FINLAND 0.00 16-23 15/09U | Anleihen | EUR | 0.05% |
EU000A1G0ED2 | EUROPEAN FINANCIAL 0.875 19-35 10/04A | Anleihen | EUR | 0.05% |
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FI4000242870 | FINLAND 1.375 17-47 15/04A | Anleihen | EUR | 0.04% |
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DE000NRW0J22 | LAND NORDRHEIN WEST 1.00 16-46 16/10A | Anleihen | EUR | 0.04% |
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FR0013252228 | UNEDIC 1.50 17-32 20/04A | Anleihen | EUR | 0.04% |
XS1346228577 | AXA SA FL.R 16-47 06/07A | Anleihen | EUR | 0.04% |
XS1713462668 | CROATIA 2.70 18-28 15/06A | Anleihen | EUR | 0.04% |
XS1028950290 | NN GROUP NV FL.R 14-XX 15/07A | Anleihen | EUR | 0.04% |
AT0000A2T198 | REPUBLIC OF AUS 0.2500 21-36 20/10A | Anleihen | EUR | 0.04% |
FR0013329216 | AXA BANK EUROPE SCF 1.375 18-33 18/04A | Anleihen | EUR | 0.04% |
FR0013396520 | ORANGE SA 2.0000 19-29 15/01A | Anleihen | EUR | 0.04% |
EU000A1G0DT0 | EFSF 1.25 17-33 24/05A | Anleihen | EUR | 0.04% |
DE000A2DAHN6 | ALLIANZ SE FL.R 17-47 06/07A | Anleihen | EUR | 0.04% |
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FR0013385473 | VEOLIA ENVIRONNEMENT 1.94 18-30 07/01A | Anleihen | EUR | 0.04% |
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FR0013367638 | VINCI SA 1.7500 18-30 26/09A | Anleihen | EUR | 0.04% |
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DE000A2E4EA2 | BERLIN 1.3 18-33 13/06A | Anleihen | EUR | 0.04% |
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DE000A2TSDE2 | DEUTSCHE TELEKOM AG 1.75 19-31 25/03A | Anleihen | EUR | 0.04% |
IE00BKFVC345 | IRELAND 0.40 20-35 15/05A | Anleihen | EUR | 0.04% |
SK4120007543 | SLOVAKIA 4.35 10-25 14/10A | Anleihen | EUR | 0.04% |
FR0012444750 | CREDIT AGRICOLE FL.R 15-XX 13/01A | Anleihen | EUR | 0.04% |
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FR0012516417 | WENDEL 2.50 15-27 09/02A | Anleihen | EUR | 0.04% |
XS2150054372 | COMPAGNIE DE SAINT-G 2.375 20-27 03/04A | Anleihen | EUR | 0.04% |
EU000A1Z99D5 | ESM 1.2 18-33 23/05A | Anleihen | EUR | 0.04% |
FR0013359239 | ORANGE SA 1.875 18-30 12/09A | Anleihen | EUR | 0.04% |
IT0005441883 | BUONI POLIENNAL 2.1500 21-72 01/03S | Anleihen | EUR | 0.04% |
FR0011858323 | REGION ILE DE FRANCE 2.375 14-26 24/04A | Anleihen | EUR | 0.04% |
IT0005246415 | CREDIT AGRICOLE ITA 1.625 17-29 21/03A | Anleihen | EUR | 0.04% |
XS1721422068 | VODAFONE GROUP 1.875 17-29 20/11A | Anleihen | EUR | 0.04% |
XS2203802462 | NE PROPERTY B.V. 3.375 20-27 14/07A | Anleihen | EUR | 0.04% |
XS2176562812 | WPP FINANCE SA 2.375 20-27 19/05A | Anleihen | EUR | 0.04% |
XS1612977717 | EIB 1.125 17-33 13/04A | Anleihen | EUR | 0.04% |
XS1945110861 | IBM CORP 1.75 19-31 31/01A | Anleihen | EUR | 0.04% |
FR0013266434 | AFD 1.375 17-32 05/07A | Anleihen | EUR | 0.04% |
EU000A1ZR7H3 | EUROPEAN UNION 1.375 14-29 04/10A | Anleihen | EUR | 0.04% |
XS1916073254 | EMERSON ELECTRIC CO 2.00 19-29 15/10A | Anleihen | EUR | 0.04% |
XS1054522922 | NN GROUP NV FL.R 14-44 08/04A | Anleihen | EUR | 0.04% |
DE000A1685X6 | FREE AND HANSEATIC 1.2 18-33 03/06A | Anleihen | EUR | 0.04% |
XS1822829799 | GLAXOSMITHKLINE 1.7500 18-30 21/05A | Anleihen | EUR | 0.04% |
EU000A1U9969 | ESM 1.125 16-32 03/05A | Anleihen | EUR | 0.04% |
XS1109741329 | B SKY B GROUP 2.50 14-26 15/09A | Anleihen | EUR | 0.04% |
XS1619567677 | LITHUANIA 0.95 17-27 26/05A | Anleihen | EUR | 0.04% |
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XS0942082115 | VIER GAS TRANSP-02- 2.875 13-25 12/06A | Anleihen | EUR | 0.04% |
FR0013141074 | CREDIT AGRICOLE HOME 1.25 16-31 24/03A | Anleihen | EUR | 0.04% |
CH0537261858 | CREDIT SUISSE GROUP FL.R 20-26 02/04A | Anleihen | EUR | 0.04% |
XS1117298916 | CROATIA 3.00 15-25 11/03A | Anleihen | EUR | 0.04% |
FR0013510179 | AUCHAN HOLDING SA 2.875 20-26 29/04A | Anleihen | EUR | 0.04% |
XS1843435923 | FIDELITY NATL INFORM 2 19-30 21/05A | Anleihen | EUR | 0.04% |
XS1948611840 | BMW FINANCE NV 1.5000 19-29 06/02A | Anleihen | EUR | 0.04% |
XS2178586157 | CONTINENTAL AG 2.5 20-26 27/05A | Anleihen | EUR | 0.04% |
IT0004689433 | UNICREDIT 5.25 11-23 30/04A | Anleihen | EUR | 0.04% |
XS1183208328 | BEI 1.00 15-31 14/03A | Anleihen | EUR | 0.04% |
XS1613374559 | FINNVERA OYJ 1.125 17-32 17/05A | Anleihen | EUR | 0.04% |
XS1958648294 | COLGATE-PALMOLIVE CO 1.375 19-34 06/03A | Anleihen | EUR | 0.04% |
XS2002018500 | VODAFONE GROUP 1.6250 19-30 24/11A | Anleihen | EUR | 0.04% |
XS1083986718 | AVIVA PLC FL.R 14-44 03/07A | Anleihen | EUR | 0.04% |
EU000A1G0EM3 | EUROPEAN FINANCIAL S 0.05 21-52 18/01A | Anleihen | EUR | 0.04% |
XS1372839214 | VODAFONE GROUP 2.20 16-26 25/08A | Anleihen | EUR | 0.04% |
XS1237271421 | MC DONALD S 1.875 15-27 26/05A | Anleihen | EUR | 0.04% |
PTOTENOE0034 | PORTUGAL 0.90 20-35 12/10A | Anleihen | EUR | 0.04% |
XS1681521081 | TELEFONICA EMISIONES 1.715 17-28 12/01A | Anleihen | EUR | 0.04% |
XS1967635977 | ABERTIS INFRAESTRUCT 2.375 19-27 27/09A | Anleihen | EUR | 0.04% |
XS1135337498 | APPLE INC 1.625 14-26 10/11A | Anleihen | EUR | 0.04% |
DE000A2GSCW3 | DAIMLER AG 1.50 17-29 03/07A | Anleihen | EUR | 0.04% |
FR0013396876 | SCHNEIDER ELECT 1.5000 19-28 15/01A | Anleihen | EUR | 0.04% |
DE000A289XJ2 | DAIMLER AG 2 20-26 22/05A | Anleihen | EUR | 0.04% |
FR0013505625 | AEROPORTS DE PARIS A 2.125 20-26 02/04A | Anleihen | EUR | 0.04% |
DE000A168023 | LAND BERLIN 1.00 16-32 19/05A | Anleihen | EUR | 0.04% |
XS1853999313 | IGNITIS GRUPE UAB 1.8750 18-28 10/07A | Anleihen | EUR | 0.04% |
FI4000348727 | FINLAND 0.5 18-28 04/09A | Anleihen | EUR | 0.04% |
XS1958307461 | CREDIT AGRICOLE 1.75 19-29 05/03A | Anleihen | EUR | 0.04% |
XS1538284230 | CREDIT AGRICOLE LDN 1.875 16-26 20/12A | Anleihen | EUR | 0.04% |
XS1205616698 | APT PIPELINES 2.00 15-27 22/03A | Anleihen | EUR | 0.04% |
XS0593606121 | TENNET HOLDING BV 4.625 11-23 21/02A | Anleihen | EUR | 0.04% |
XS0997775837 | BFCM EMTN 3.00 13-23 28/11A | Anleihen | EUR | 0.04% |
XS1685542497 | ITALGAS SPA 1.625 17-29 18/01A | Anleihen | EUR | 0.04% |
XS1107727007 | CITIGROUP 2.125 14-26 10/09A | Anleihen | EUR | 0.04% |
XS0625859516 | INVESTOR EMTN 4.50 11-23 12/05A | Anleihen | EUR | 0.04% |
XS1619312686 | APPLE INC 1.375 17-29 24/05A | Anleihen | EUR | 0.04% |
XS1195574881 | SOCIETE GENERALE 2.625 15-25 27/02A | Anleihen | EUR | 0.04% |
XS1861206636 | GOLDMAN SACHS GROUP 2.0 18-28 01/11A | Anleihen | EUR | 0.04% |
XS1415535696 | COCA-COLA EUROPEAN 1.75 16-28 26/05A | Anleihen | EUR | 0.04% |
XS1900101046 | ROYAL SCHIPHOL GROUP 1.5 18-30 05/11A | Anleihen | EUR | 0.04% |
XS2147995299 | DANAHER CORP 2.1 20-26 30/03A | Anleihen | EUR | 0.04% |
XS2176558620 | BERTELSMANN SE CO. 1.5 20-30 15/05A | Anleihen | EUR | 0.04% |
XS1394791492 | ABN AMRO BANK 1.00 16-31 13/04A | Anleihen | EUR | 0.04% |
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XS1028941117 | MERCK & CO INC 1.875 14-26 15/10A | Anleihen | EUR | 0.04% |
XS1654192274 | UNILEVER 1.375 17-29 31/07A | Anleihen | EUR | 0.04% |
XS1107718279 | EUROP INVEST BK 1.25 14-26 13/11U | Anleihen | EUR | 0.04% |
FR0011011188 | CRH 4.30 11-23 24/02A | Anleihen | EUR | 0.04% |
XS0847580353 | DEUT TELEKOM INT FIN 2.75 12-24 24/10A | Anleihen | EUR | 0.04% |
FR0013398070 | BNP PARIBAS FL.R 19-27 23/01A | Anleihen | EUR | 0.04% |
FI4000369467 | FINLAND 0.5 19-29 15/09A | Anleihen | EUR | 0.04% |
FR0011037001 | CADES 4.125 11-23 25/04A | Anleihen | EUR | 0.04% |
FR0013508694 | LA POSTE 1.375 20-32 21/04A | Anleihen | EUR | 0.04% |
XS1382791975 | DEUT TELEKOM INT FIN 1.50 16-28 03/04A | Anleihen | EUR | 0.04% |
XS1810653540 | HEIDELBERGCEMENT FIN 1.75 18-28 24/04A | Anleihen | EUR | 0.04% |
XS1023541847 | ISRAEL 2.875 14-24 29/01A | Anleihen | EUR | 0.04% |
XS1936139770 | DE BAHN FIN. 1.125 19-28 18/01A | Anleihen | EUR | 0.04% |
XS1753808929 | EXOR 1.75 18-28 18/01A | Anleihen | EUR | 0.04% |
XS1551917591 | ITALGAS SPA 1.625 17-27 19/01A | Anleihen | EUR | 0.04% |
XS2058557344 | THERMO FISHER SCIEN 1.875 19-49 01/10A | Anleihen | EUR | 0.04% |
XS1045553812 | BFCM EMTN FL.R 14-24 18/03Q | Anleihen | EUR | 0.04% |
FR0013521630 | CNP ASSURANCES 2.5 20-51 30/06A | Anleihen | EUR | 0.04% |
FR0013397288 | APRR SA 1.25 19-28 18/01A | Anleihen | EUR | 0.04% |
DE000A1YCQ29 | ALLIANZ SE FL.R 13-XX 24/10A | Anleihen | EUR | 0.04% |
DE000A2TSTF5 | SAP SE 1.25 18-28 10/03A | Anleihen | EUR | 0.04% |
XS1319820541 | FEDEX CORP 1.625 16-27 11/01A | Anleihen | EUR | 0.04% |
XS1856834608 | BFCM 1.375 18-28 16/07A | Anleihen | EUR | 0.04% |
XS1627602201 | AMERICAN INTL GRP 1.875 17-27 21/06A | Anleihen | EUR | 0.04% |
EU000A1G0D70 | EUROPEAN FINANCIAL 0.95 18-28 14/02A | Anleihen | EUR | 0.04% |
FR0013312774 | AFD 1.00 18-28 31/01A | Anleihen | EUR | 0.04% |
XS1057783174 | SYDNEY AIRPORT FIN 2.75 14-24 23/04A | Anleihen | EUR | 0.04% |
XS1014018045 | ANZ BANKING GRP 2.50 14-24 16/01A | Anleihen | EUR | 0.04% |
XS1943561883 | SPAREBANK 1 BOLIGKRED�1.0 19-29 30/01A | Anleihen | EUR | 0.04% |
FR0013060209 | RTE EDF TRANSPORT 1.625 15-25 27/11A | Anleihen | EUR | 0.04% |
XS1822791619 | CITYCON TREASUR 2.3750 18-27 15/01A | Anleihen | EUR | 0.04% |
XS0867612466 | SOCIETE GENERALE 4.00 13-23 07/06A | Anleihen | EUR | 0.04% |
XS2024716099 | DEUTSCHE TELEKOM AG 1.375 19-34 05/07A | Anleihen | EUR | 0.04% |
XS2022424993 | INTESA SANPAOLO 1.75 19-29 04/07A | Anleihen | EUR | 0.04% |
XS1069521083 | CREDIT AGRICOLE LDN 2.375 14-24 20/05A | Anleihen | EUR | 0.04% |
XS2177122897 | DEUTSCHE POST AG 1 20-32 20/05A | Anleihen | EUR | 0.04% |
XS1791485011 | EUROP INVEST BK 0.875 18-28 14/01A | Anleihen | EUR | 0.04% |
FR0011637743 | BPCE 2.375 13-23 29/11A | Anleihen | EUR | 0.04% |
XS1627193359 | CIE DE SAINT GOBAIN 1.375 17-27 14/06A | Anleihen | EUR | 0.04% |
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FR0013222494 | BOUYGUES 1.375 16-27 07/06A | Anleihen | EUR | 0.04% |
DE000A13SR38 | DZ HYP AG 0.875 15-30 18/01A | Anleihen | EUR | 0.04% |
XS1785147098 | NEDER WATERSCHAPSBANK 1.00 18-28 01/03A | Anleihen | EUR | 0.04% |
FR0013216926 | DANONE SA EMTN 1.208 16-28 03/11A | Anleihen | EUR | 0.04% |
XS2014373851 | COOP RABOBANK 0.75 19-39 21/06A | Anleihen | EUR | 0.04% |
FR0013320058 | ICADE SA 1.625 18-28 28/02A | Anleihen | EUR | 0.04% |
FR0013507852 | CAPGEMINI SE 1.625 20-26 15/04A | Anleihen | EUR | 0.04% |
XS1602547264 | BANK OF AMERICA CORP FL.R 17-27 04/05A | Anleihen | EUR | 0.04% |
XS2226645278 | SAMPO PLC FL.R 20-52 03/09A | Anleihen | EUR | 0.04% |
FI4000148630 | FINLAND 0.75 15-31 15/04A | Anleihen | EUR | 0.04% |
EU000A1G0BN7 | EFSF 2.125 14-24 19/02A | Anleihen | EUR | 0.04% |
FR0012370872 | IMERYS SA 2.00 14-24 10/12A | Anleihen | EUR | 0.04% |
FR0013330693 | CAISSE FRANCAIS 1.0000 18-28 25/04A | Anleihen | EUR | 0.04% |
XS1023039545 | EUROP INVEST BK 2.125 14-24 15/01A | Anleihen | EUR | 0.04% |
EU000A1U9803 | ESM 2.125 13-23 20/11A | Anleihen | EUR | 0.04% |
DE000DL19T26 | DEUTSCHE BANK 1.750 18-28 17/01A | Anleihen | EUR | 0.04% |
XS2152329053 | FRESENIUS SE CO. KG 1.625 20-27 08/04A | Anleihen | EUR | 0.04% |
XS2400299363 | BK FOR RECONS AND DEV 0.7 21-46 22/10A | Anleihen | EUR | 0.04% |
FR0013507704 | VEOLIA ENVIRONNEMENT 1.25 20-28 15/04A | Anleihen | EUR | 0.04% |
XS1499594916 | NEDER WATERSCHAPSBK 0.75 16-41 04/10A | Anleihen | EUR | 0.04% |
DE000A1YC244 | LOWER SAXONY 841 2.125 14-24 16/01A | Anleihen | EUR | 0.04% |
XS1944327631 | RABOBANK 0.875 19-29 01/02A | Anleihen | EUR | 0.04% |
DE000A18V146 | VONOVIA FINANCE BV 2.25 15-23 15/12A | Anleihen | EUR | 0.04% |
XS1991126431 | RABOBANK 1.125 19-31 07/05A | Anleihen | EUR | 0.04% |
XS1243251375 | EUROGRID GMBH 1.875 15-25 10/06A | Anleihen | EUR | 0.04% |
XS1180256528 | MORGAN STANLEY 1.75 15-25 30/01A | Anleihen | EUR | 0.04% |
XS2170736263 | RICHEMONT INTERNATIO 1.125 20-32 26/05A | Anleihen | EUR | 0.04% |
FR0013512621 | COFIROUTE SA 1 20-31 19/05A | Anleihen | EUR | 0.04% |
FI4000507231 | FINLAND 0.125 21-31 15/09A | Anleihen | EUR | 0.04% |
DE000A14J9N8 | ALLIANZ SE FL.R 15-45 07/07A | Anleihen | EUR | 0.04% |
XS1405780963 | ASML HOLDING NV 1.375 16-26 07/07S | Anleihen | EUR | 0.04% |
XS2001737910 | TELENOR A.S. 1.125 19-29 31/05A | Anleihen | EUR | 0.04% |
EU000A1ZE225 | EUROPEAN UNION 1.875 14-24 04/04A | Anleihen | EUR | 0.04% |
EU000A1G0DY0 | EFSF 0.875 17-27 26/07A | Anleihen | EUR | 0.04% |
XS1426022536 | SUMITOMO MITSUI FIN 1.546 16-26 15/06A | Anleihen | EUR | 0.04% |
XS1397134609 | LINDE FINANCE BV 1.00 16-28 20/04A | Anleihen | EUR | 0.04% |
XS1112850125 | BOOKING HOLDINGS INC 2.375 14-24 23/09A | Anleihen | EUR | 0.04% |
XS1382784509 | COOP RABOBANK 1.25 16-26 23/03A | Anleihen | EUR | 0.04% |
FR0013313855 | LA BANQUE POSTALE HOM 0.875 18-28 07/02A | Anleihen | EUR | 0.04% |
XS2201857534 | ASSICURAZIONI GENERA 2.429 20-31 14/07A | Anleihen | EUR | 0.04% |
EU000A1Z99F0 | ESM 0.75 18-28 05/09A | Anleihen | EUR | 0.04% |
XS1512827095 | MERLIN PROPERTIES 1.875 16-26 02/11A | Anleihen | EUR | 0.04% |
XS1940071597 | BNG BANK N.V 0.75 19-29 24/01A | Anleihen | EUR | 0.04% |
XS2176621170 | ING GROUP NV FL.R 20-31 26/05A | Anleihen | EUR | 0.04% |
XS1952948104 | COMMONWEALTH BANK OF 0.875 19-29 19/02A | Anleihen | EUR | 0.04% |
XS1878191219 | AMADEUS IT GROUP SA 1.5 18-26 18/09A | Anleihen | EUR | 0.04% |
XS1405767515 | UNITED PARCEL 1.00 16-28 28/11A | Anleihen | EUR | 0.04% |
DE000DL19U23 | DEUTSCHE BANK AG 1.625 20-27 20/01A | Anleihen | EUR | 0.04% |
XS1843436228 | FIDELITY NATIONAL INF 1.5 19-27 21/05A | Anleihen | EUR | 0.04% |
XS0895249620 | BNP PARIBAS 2.875 13-23 26/09A | Anleihen | EUR | 0.04% |
XS1392459381 | CREDIT SUISSE AG L 1.50 16-26 10/04A | Anleihen | EUR | 0.04% |
EU000A1G0BQ0 | EFSF 1.75 14-24 27/06A | Anleihen | EUR | 0.04% |
XS1508392625 | ATF NETHERLANDS BV FL.R 16-XX 20/01A | Anleihen | EUR | 0.04% |
XS1069448220 | ONTARIO (PROV OF) 1.875 14-25 21/05A | Anleihen | EUR | 0.04% |
XS1197833053 | COCA-COLA CO 1.125 15-27 09/09A | Anleihen | EUR | 0.04% |
XS1952576475 | ING 0.75 19-29 18/02A | Anleihen | EUR | 0.04% |
IT0005142952 | MEDIOBANCA 1.375 15-25 10/11A | Anleihen | EUR | 0.04% |
FR0013405040 | UNIBAIL RODAMCO 1.75 19-34 27/02A | Anleihen | EUR | 0.04% |
XS1192872866 | LANDW RENTENBANK REGS 0.625 15-30 20/02A | Anleihen | EUR | 0.04% |
FR0012452191 | ARKEMA SA 1.50 15-25 20/01A | Anleihen | EUR | 0.04% |
XS1151586945 | CHILE 1.625 14-25 30/01A | Anleihen | EUR | 0.04% |
XS1781401085 | GRAND CITY PROPERTIES 1.50 18-27 22/02A | Anleihen | EUR | 0.04% |
XS1761721262 | AROUNDTOWN SA 1.625 18-28 31/01A | Anleihen | EUR | 0.04% |
XS1295778275 | NEON CAPITAL 1.375 15-25 23/09A | Anleihen | EUR | 0.04% |
DE000A2G8V17 | LOWER SAXONY 0.75 18-28 15/02S | Anleihen | EUR | 0.04% |
FR0013252061 | SUEZ FL.R 17-XX 19/04A | Anleihen | EUR | 0.04% |
FR0013302197 | AEROPORTS DE PARIS 1.0 17-27 13/12A | Anleihen | EUR | 0.04% |
XS1147605791 | GLAXOSMITHKLINE 1.375 14-24 02/12A | Anleihen | EUR | 0.04% |
XS1718418103 | BASF 0.875 17-27 15/11A | Anleihen | EUR | 0.04% |
XS1342516629 | BANK V.NED.GEM.REGS 1.00 16-26 12/01A | Anleihen | EUR | 0.04% |
XS1788515606 | NATWEST GROUP PLC FL.R 18-26 02/03A | Anleihen | EUR | 0.04% |
EU000A1Z99B9 | MECANISME EUROP STAB 0.75 17-27 15/03A | Anleihen | EUR | 0.04% |
XS1718316281 | SOCIETE GENERALE 1.375 17-28 13/01A | Anleihen | EUR | 0.04% |
XS1967697738 | DANSKE BANK FL.R 19-29 21/06A | Anleihen | EUR | 0.04% |
FR0011527241 | DANONE 2.60 13-23 28/06A | Anleihen | EUR | 0.04% |
DE000A2GSNR0 | KFW 0.625 18-28 07/01A | Anleihen | EUR | 0.04% |
DE000BLB6JC5 | BAYERISCHE LAND 0.7500 18-28 19/01A | Anleihen | EUR | 0.04% |
XS2168647357 | BANCO SANTANDER SA 1.375 20-26 05/05A | Anleihen | EUR | 0.04% |
FR0013397320 | CREDIT MUTUEL ARKEA 1.375 19-25 17/01A | Anleihen | EUR | 0.04% |
FR0013523602 | CREDIT AGRICOLE 2.00 20-30 17/07A | Anleihen | EUR | 0.04% |
XS2197349645 | TAKEDA PHARMACEUTICA 1.375 20-32 09/07A | Anleihen | EUR | 0.04% |
DE000A11QEJ1 | LAND BERLIN 1.625 14-24 03/06 | Anleihen | EUR | 0.04% |
XS2203996132 | SODEXO 1 20-28 17/07A | Anleihen | EUR | 0.04% |
XS1617533275 | KOMMUNALBANKEN AS 0.875 17-27 24/05A | Anleihen | EUR | 0.04% |
XS2183818637 | STANDARD CHARTERED P FL.R 20-30 09/06A | Anleihen | EUR | 0.04% |
DE000NLB2TD7 | NORDDEUTSCHE LBK 0.75 18-28 18/01A | Anleihen | EUR | 0.04% |
FR0011564962 | CIC HOME LOAN 2.50 13-23 11/09A | Anleihen | EUR | 0.04% |
XS1379171140 | MORGAN STANLEY 1.75 16-24 11/03A | Anleihen | EUR | 0.04% |
XS1511781897 | GERMANY 0.625 16-36 31/10A | Anleihen | EUR | 0.04% |
XS2147133495 | UNILEVER FINANCE NET 1.25 20-25 25/03A | Anleihen | EUR | 0.04% |
XS1186176571 | HEATHROW FUNDING 1.50 15-30 11/05A | Anleihen | EUR | 0.04% |
XS1571293684 | TELEFON ERICSSON 1.875 17-24 01/03A | Anleihen | EUR | 0.04% |
XS0903136736 | TELSTRA CORP EMTN 2.50 13-23 15/09A | Anleihen | EUR | 0.04% |
XS0855167523 | LANXESS FINANCE 2.625 12-22 21/11A | Anleihen | EUR | 0.04% |
FR0013063385 | BPCE FL.R 15-27 30/11A | Anleihen | EUR | 0.04% |
FR0012766889 | AIR LIQUIDE FINANCE 1.25 15-25 03/06A | Anleihen | EUR | 0.04% |
XS2147994995 | DANAHER CORP 1.7 20-24 30/03A | Anleihen | EUR | 0.04% |
XS1321920735 | NYKREDIT REALKREDIT FL.R 15-27 17/11A | Anleihen | EUR | 0.04% |
FR0011530492 | CREDIT MUTUEL ARKEA 2.375 13-23 11/07A | Anleihen | EUR | 0.04% |
XS1031019562 | CARGILL REGD EMTN 2.50 14-23 15/02A | Anleihen | EUR | 0.04% |
XS1626141698 | OP MORTGAGE BANK PLC 0.75 17-27 07/06A | Anleihen | EUR | 0.04% |
XS2337061837 | CCEP FINANCE (IRELAN 1.5 21-41 06/05A | Anleihen | EUR | 0.04% |
EU000A1U9894 | ESM 1.00 15-25 23/09A | Anleihen | EUR | 0.04% |
DE000A2G8VT5 | SAP SE 1.00 18-26 13/03A | Anleihen | EUR | 0.04% |
XS1555402145 | SNAM SPA 1.25 17-25 25/01A | Anleihen | EUR | 0.04% |
XS1859010685 | CITIGROUP FL.R 18-26 24/07A | Anleihen | EUR | 0.04% |
XS1382368113 | NATWEST GRP 2.50 16-23 22/03A | Anleihen | EUR | 0.04% |
DE000A1R0691 | DAIMLER AG 2.375 13-23 08/03A | Anleihen | EUR | 0.04% |
XS1344751968 | ABN AMRO BANK 0.875 16-26 14/01A | Anleihen | EUR | 0.04% |
FR0013398831 | SOCIETE GENERAL 0.7500 19-27 29/01A | Anleihen | EUR | 0.04% |
DE000A1R07S9 | KRED WIEDERAUFBAU 2.125 13-23 15/08A | Anleihen | EUR | 0.04% |
XS1189263400 | NORDEA BANK 1.125 15-25 12/02A | Anleihen | EUR | 0.04% |
FR0013204468 | BPCE 1.00 16-28 05/10A | Anleihen | EUR | 0.04% |
ES0413900368 | BANCO SANTANDER 1.125 14-24 27/11A | Anleihen | EUR | 0.04% |
EU000A1Z99H6 | ESM 0.5 19-29 05/03A | Anleihen | EUR | 0.04% |
XS1709509258 | STADSHYPOTEK AB 0.75 17-27 01/11A | Anleihen | EUR | 0.04% |
XS1957349332 | LANDWIRTSCHAFTLICHE 0.50 19-29 28/02A | Anleihen | EUR | 0.04% |
XS2190201983 | CROATIA 1.50 20-31 17/06A | Anleihen | EUR | 0.04% |
DE000A1RQB11 | LAND HESSEN 1.375 14-24 10/06A | Anleihen | EUR | 0.04% |
DE000DB5DCS4 | DEUTSCHE BANK 2.375 13-23 11/01A | Anleihen | EUR | 0.04% |
XS1219462543 | RED ELECT FIN 1.125 15-25 24/04A | Anleihen | EUR | 0.04% |
XS1615677280 | LANDWIRT.RENTENBANK 0.625 17-27 18/05A | Anleihen | EUR | 0.04% |
DE000A189ZX0 | VONOVIA FINANCE BV 1.25 16-24 06/12A | Anleihen | EUR | 0.04% |
FR0013431277 | BNP PARIBAS 1.625 19-31 02/07A | Anleihen | EUR | 0.04% |
FR0013517307 | CREDIT MUTUEL ARKEA FL.R 20-29 11/06A | Anleihen | EUR | 0.04% |
DE000A2RWAX4 | ALLIANZ FIN.II 0.875 19-26 15/01A | Anleihen | EUR | 0.04% |
PTOTEOOE0033 | PORTUGAL 0.30 21-31 17/10A | Anleihen | EUR | 0.04% |
XS1789751531 | RICHEMONT INTL 1.00 18-26 26/03A | Anleihen | EUR | 0.04% |
XS1548533329 | MUNICIPALITY FINANCE 0.625 17-26 26/11A | Anleihen | EUR | 0.04% |
IT0005346579 | CASSA DEPOSITI 2.125 18-23 27/09A | Anleihen | EUR | 0.04% |
XS1645495349 | CAIXABANK SA FL.R 17-28 14/07A | Anleihen | EUR | 0.04% |
XS0942172296 | EUROP INVEST BK 2.00 13-23 14/04A | Anleihen | EUR | 0.04% |
XS2150006133 | JOHN DEERE CASH MANA 1.375 20-24 02/04A | Anleihen | EUR | 0.04% |
XS2013574038 | CAIXABANK SA 1.375 19-26 19/06A | Anleihen | EUR | 0.04% |
FR0012821940 | CAPGEMINI SE 2.50 15-23 01/07U | Anleihen | EUR | 0.04% |
XS1917601582 | HSBC HOLDINGS PLC 1.5 18-24 04/12A | Anleihen | EUR | 0.04% |
FR0013217114 | ORANGE SA 0.875 16-27 03/02A | Anleihen | EUR | 0.04% |
XS1551045039 | NWB 0.625 17-27 18/01A | Anleihen | EUR | 0.04% |
EU000A1G0D88 | EUROPEAN FIN.STA. 0.625 18-26 17/04A | Anleihen | EUR | 0.04% |
XS1555331617 | EIB 0.50 17-27 15/01A | Anleihen | EUR | 0.04% |
XS1873219304 | INTESA SANPAOLO 2.125 18-23 30/08A | Anleihen | EUR | 0.04% |
XS2176560444 | VERIZON COMMUNICATIO 1.3 20-33 18/05A | Anleihen | EUR | 0.04% |
XS1548773982 | LANDBK HESSEN-THUERIN 0.625 17-27 12/01A | Anleihen | EUR | 0.04% |
XS1224445202 | NEDER WATERSCHAPSBANK 0.50 15-30 29/04A | Anleihen | EUR | 0.04% |
XS2156510021 | SVENSKA HANDELSBANKE 1 20-25 15/04A | Anleihen | EUR | 0.04% |
EU000A1G0BC0 | ESFS 1.875 13-23 23/05A | Anleihen | EUR | 0.04% |
FR0014000UD6 | UNIBAIL-RODAMCO-WEST 1.375 20-31 04/12A | Anleihen | EUR | 0.04% |
XS1506398244 | WESTPAC BANKING CO 0.875 16-27 17/04A | Anleihen | EUR | 0.04% |
FR0013505559 | AIR LIQUIDE FINANCE 1 20-25 02/04A | Anleihen | EUR | 0.04% |
FR0013512407 | KERING SA 0.75 20-28 13/05A | Anleihen | EUR | 0.04% |
FR0013336286 | CIE FINANC FONCIER 0.75 18-26 29/05A | Anleihen | EUR | 0.04% |
DE000A1R06T9 | BERLIN 1.875 13-23 12/06A | Anleihen | EUR | 0.04% |
ES0413307093 | BANKIA SA 1.00 15-25 25/09A | Anleihen | EUR | 0.04% |
FR0013367620 | VINCI SA 1.0000 18-25 26/09A | Anleihen | EUR | 0.04% |
DE000NLB8739 | NORDDEUTSCHE LANDESBK 0.625 17-27 18/01A | Anleihen | EUR | 0.04% |
FR0013152899 | RTE RESEAU DE TRANSP 1.00 16-26 19/10A | Anleihen | EUR | 0.04% |
DE000LB06CF2 | LBK BAD.WUERT 0.875 15-25 15/09A | Anleihen | EUR | 0.04% |
FR0013403862 | BPCE SFH 0.625 19-27 22/09A | Anleihen | EUR | 0.04% |
FR0013214137 | SAGESS 0.625 16-28 20/10A | Anleihen | EUR | 0.04% |
XS1560863802 | BANK OF AMERICA CORP FL.R 17-25 07/02A | Anleihen | EUR | 0.04% |
XS2167003685 | CITIGROUP INC FL.R 20-26 06/05A | Anleihen | EUR | 0.04% |
XS1942618023 | NATIONAL AUS BK 0.75 19-26 30/01A | Anleihen | EUR | 0.04% |
DE000CZ40NS9 | COMMERZBANK AG 1.00 19-26 25/02A | Anleihen | EUR | 0.04% |
XS2306601746 | EASYJET FINCO B.V. 1.875 21-28 03/03A | Anleihen | EUR | 0.04% |
XS1960248919 | JPMORGAN CHASE & CO FL.R 19-27 11/03A | Anleihen | EUR | 0.04% |
XS1224958501 | AVINOR 1.00 15-25 29/04A | Anleihen | EUR | 0.04% |
FR0013248507 | SUEZ SA 1.00 17-25 03/04A | Anleihen | EUR | 0.04% |
FR0012537124 | UNEDIC 0.625 15-25 17/02A | Anleihen | EUR | 0.04% |
XS1382693452 | BULGARIA 1.875 16-23 21/03A | Anleihen | EUR | 0.04% |
DE000MHB19J4 | MUENCHENER HYPOTHEKEN 0.625 17-26 23/10A | Anleihen | EUR | 0.04% |
XS1068872925 | BEI 1.625 14-23 15/03A | Anleihen | EUR | 0.04% |
DE000NWB17G1 | NRW BANK EX LANDESBA 0.625 16-26 11/02A | Anleihen | EUR | 0.04% |
FR0013332988 | UNIBAIL-RODAMCO SE 1.125 18-25 15/09A | Anleihen | EUR | 0.04% |
XS1823532640 | BNP PARIBAS 1.125 18-23 22/11A | Anleihen | EUR | 0.04% |
DE000A11QTD2 | KRED.WIEDERAUFBAU 0.625 15-25 15/01A | Anleihen | EUR | 0.04% |
XS1375841233 | IBM 1.125 16-24 06/09A | Anleihen | EUR | 0.04% |
FR0013447877 | ORANGE SA FL.R 19-XX 19/03A | Anleihen | EUR | 0.04% |
XS2185867673 | OP CORPORATE BANK PL FL.R 20-30 09/06A | Anleihen | EUR | 0.04% |
BE0002483585 | BELFIUS BANQUE SA 0.75 15-25 10/02A | Anleihen | EUR | 0.04% |
XS1724873275 | SUEDZUCKER INT FIN 1.00 17-25 28/11A | Anleihen | EUR | 0.04% |
XS1495373505 | DSM KONINKLIJKE 0.75 16-26 28/09A | Anleihen | EUR | 0.04% |
IT0005316788 | CRED AGRI CARIPARMA 0.625 17-26 13/01A | Anleihen | EUR | 0.04% |
XS1942708873 | LANSFORSA. 0.625 19-26 29/01A | Anleihen | EUR | 0.04% |
FR0013396512 | ORANGE SA 1.1250 19-24 15/07A | Anleihen | EUR | 0.04% |
XS1492825481 | NOVARTIS FINANCE S 0.625 16-28 20/09A | Anleihen | EUR | 0.04% |
EU000A3KNYG5 | COMMUNAUTE EUROPEENN 0.45 21-46 30/03A | Anleihen | EUR | 0.04% |
XS1614722806 | CAIXABANK SA 1.125 17-24 17/05A | Anleihen | EUR | 0.04% |
FR0013396447 | BPCE 1.0 19-24 15/01A | Anleihen | EUR | 0.04% |
FR0013220399 | VIVENDI 1.125 16-23 24/11A | Anleihen | EUR | 0.04% |
XS1403264374 | MCDONALD'S CORP 1.00 16-23 15/11A | Anleihen | EUR | 0.04% |
XS1584122177 | ESSITY AB 1.125 17-24 27/03A | Anleihen | EUR | 0.04% |
EU000A1G0DH5 | EFSF 0.40 16-26 31/05A | Anleihen | EUR | 0.04% |
XS2001737324 | TELENOR ASA 0.7500 19-26 31/05A | Anleihen | EUR | 0.04% |
XS1873982745 | BARCLAYS 1.5 18-23 03/09A | Anleihen | EUR | 0.04% |
DE000A14JYT7 | BADEN-WUERTTEMBERG 0.625 15-25 16/01A | Anleihen | EUR | 0.04% |
FR0013508512 | CREDIT AGRICOLE FL.R 20-26 22/04A | Anleihen | EUR | 0.04% |
DE000A168Y55 | KFW 0.375 16-26 09/03A | Anleihen | EUR | 0.04% |
XS1829345427 | OP MTGE 0.625 18-25 01/09A | Anleihen | EUR | 0.04% |
ES0211845310 | ABERTIS INFRAESTRUCT 1.00 16-27 27/02A | Anleihen | EUR | 0.04% |
XS1405777316 | BUNGE FIN EUROPE BV 1.850 16-23 16/06A | Anleihen | EUR | 0.04% |
DE000A2G9HE4 | DZ HYP 0.5 18-25 13/11A | Anleihen | EUR | 0.04% |
XS1825134742 | NORDEA MORTGAGE 0.6250 18-25 23/05A | Anleihen | EUR | 0.04% |
DE000CZ40MU7 | COMMERZBANK AG 0.625 18-25 28/05A | Anleihen | EUR | 0.04% |
XS1956025651 | SANTANDER CONS FIN 1.00 19-24 27/02A | Anleihen | EUR | 0.04% |
FR0013495181 | DANONE SA 0.571 20-27 17/03A | Anleihen | EUR | 0.04% |
DE000BHY0BQ4 | BERLIN HYP AG 0.3750 19-29 29/05A | Anleihen | EUR | 0.04% |
XS2167002521 | SWEDBANK AB 0.75 20-25 05/05A | Anleihen | EUR | 0.04% |
FR0012939841 | SCHNEIDER ELECTRIC 1.50 15-23 08/09A | Anleihen | EUR | 0.04% |
DE000DL19UM9 | DEUTSCHE BANK AG 0.5 19-26 22/01A | Anleihen | EUR | 0.04% |
XS1557096267 | DEUT TELEKOM INT FIN 0.875 17-24 30/01A | Anleihen | EUR | 0.04% |
DE000A2R8NE1 | VONOVIA FINANCE BV 1.625 19-39 07/10A | Anleihen | EUR | 0.04% |
XS1720922175 | BRITISH TELECOM 1.00 17-24 21/11A | Anleihen | EUR | 0.04% |
XS1807430811 | PROV OF ONTARIO 0.625 18-25 17/04A | Anleihen | EUR | 0.04% |
XS2218405772 | MERCK KGAA FL.R 20-80 09/09A | Anleihen | EUR | 0.04% |
FR0013286838 | LA BANQUE POSTALE 1.00 17-24 16/10A | Anleihen | EUR | 0.04% |
DE000A3H3KE9 | KREDITANSTALT FUER W 0.375 21-36 20/05A | Anleihen | EUR | 0.04% |
XS1732400319 | FERROVIE STATO ITALIA 0.875 17-23 07/12A | Anleihen | EUR | 0.04% |
XS1379610675 | LANDWIRTSCHAFT RENTEN 0.375 16-26 16/03A | Anleihen | EUR | 0.04% |
XS1951084638 | SPAREBANKEN VEST BOL 0.5 19-26 12/20A | Anleihen | EUR | 0.04% |
CH0343366842 | CREDIT SUISSE FL.R 17-25 17/07A | Anleihen | EUR | 0.04% |
DE000NWB0659 | NRW BANK 0.375 19-29 26/05A | Anleihen | EUR | 0.04% |
FR0013385515 | CREDIT AGRICOLE 0.75 18-23 05/12A | Anleihen | EUR | 0.04% |
DE000A14J421 | GEMEIN BUENDESLANDER 0.50 15-25 05/02A | Anleihen | EUR | 0.04% |
XS1808478710 | PROVINCE OF ALBERTA 0.625 18-25 18/04A | Anleihen | EUR | 0.04% |
XS1850289171 | BNZ INTL FUNDIN 0.6250 18-25 03/07A | Anleihen | EUR | 0.04% |
XS1614198262 | GOLDMAN SACHS GROUP 1.375 17-24 15/05A | Anleihen | EUR | 0.04% |
DE000A2GSNW0 | KFW 0.3750 18-25 23/04A | Anleihen | EUR | 0.04% |
IE00BMQ5JM72 | IRELAND 0.55 21-41 22/04A | Anleihen | EUR | 0.04% |
XS1756367816 | KOMMUNEKREDIT 0.5 18-25 24/01A | Anleihen | EUR | 0.04% |
XS2089368596 | INTESA SANPAOLO 0.75 19-24 04/12A | Anleihen | EUR | 0.04% |
FR0013413382 | COMPAGNIE DE FINANC 0.375 19-27 09/04A | Anleihen | EUR | 0.04% |
XS1396261338 | BMW FINANCE REGS 0.75 16-24 15/04A | Anleihen | EUR | 0.04% |
XS1685653302 | LSE GROUP 0.875 17-24 19/09A | Anleihen | EUR | 0.04% |
DE000NWB0634 | NRW 0.5 18-25 25/05A | Anleihen | EUR | 0.04% |
XS1485597329 | HSBC HOLDINGS PLC 0.875 16-24 06/09A | Anleihen | EUR | 0.04% |
XS1371969483 | DNB BANK ASA 1.125 16-23 01/03A | Anleihen | EUR | 0.04% |
XS1237184533 | ADECCO INTERNATIONAL 1.50 15-22 22/11A | Anleihen | EUR | 0.04% |
XS1685798370 | KONINKLIJKE 0.875 17-24 19/09A | Anleihen | EUR | 0.04% |
XS2171874519 | NORDEA BANK ABP 0.5 20-27 14/05A | Anleihen | EUR | 0.04% |
DE000DL19UC0 | DEUTSCHE BK 1.1250 18-23 30/08A | Anleihen | EUR | 0.04% |
XS1333139746 | SVENSKA HANDELSBAN 1.125 15-22 14/12M | Anleihen | EUR | 0.04% |
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DE000RLP1130 | STATE OF RHINELAND 0.25 19-29 31/05A | Anleihen | EUR | 0.04% |
FR0013266830 | LEGRAND SA 0.75 17-24 06/07A | Anleihen | EUR | 0.04% |
FR0013190188 | AFD EMTN 0.25 16-26 21/07A | Anleihen | EUR | 0.04% |
XS1962535644 | STADSHYPOTEK AB 0.3750 19-26 13/03A | Anleihen | EUR | 0.04% |
FR0013231743 | BPCE 1.125 17-23 18/01A | Anleihen | EUR | 0.04% |
XS1748436190 | WESTPAC BANKING 0.5 18-25 16/01A | Anleihen | EUR | 0.04% |
XS2126162069 | RELX FINANCE BV 0.875 20-32 10/03A | Anleihen | EUR | 0.04% |
XS1998930926 | IBRD 0.2500 19-29 21/05A | Anleihen | EUR | 0.04% |
XS1717584913 | ALSTRIA OFFICE REIT 1.50 17-27 15/11A | Anleihen | EUR | 0.04% |
XS1517196272 | NATL AUSTRALIA BANK 0.625 16-23 10/11A | Anleihen | EUR | 0.04% |
FR0013509726 | BPCE S.A. 0.625 20-25 28/04A | Anleihen | EUR | 0.04% |
DE000DL19VU0 | DEUTSCHE BANK AG 1.375 21-32 17/02A | Anleihen | EUR | 0.04% |
XS1234370127 | 3M EMTN 0.95 15-23 15/05A | Anleihen | EUR | 0.04% |
XS1679158094 | CAIXABANK SA 1.125 17-23 12/01A | Anleihen | EUR | 0.04% |
XS2084497705 | FRESENIUS MEDICAL 0.625 19-26 30/11A | Anleihen | EUR | 0.04% |
IT0005215147 | UBI BANCA 0.375 16-26 14/09A | Anleihen | EUR | 0.04% |
XS1405775708 | THERMO FISHER SCIENT 0.75 16-24 12/09A | Anleihen | EUR | 0.04% |
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XS2050448336 | FASTIGHETS AB BALDER 1.125 19-27 29/01A | Anleihen | EUR | 0.04% |
XS2162004209 | ONTARIO TEACHERS' FI 0.5 20-25 06/05A | Anleihen | EUR | 0.04% |
XS2350744434 | NESTLE FINANCE INTER 0.875 21-41 14/06A | Anleihen | EUR | 0.04% |
XS2200150766 | CAIXABANK S.A. FL.R 20-26 10/07A | Anleihen | EUR | 0.04% |
XS2171316859 | DANSKE BANK A/S 0.625 20-25 12/05A | Anleihen | EUR | 0.04% |
FR0013220902 | AGENCE FRANCAISE D 5.55 16-24 30/04A | Anleihen | EUR | 0.04% |
XS1956955980 | RABOBANK 0.625 19-24 27/02A | Anleihen | EUR | 0.04% |
XS2171253912 | OP CORPORATE BANK PL 0.5 20-25 12/05A | Anleihen | EUR | 0.04% |
XS1679515038 | KIMBERLY CLARK 0.625 17-24 07/09A | Anleihen | EUR | 0.04% |
XS1135334800 | APPLE INC 1.00 14-22 10/11A | Anleihen | EUR | 0.04% |
FR0013463668 | ESSILORLUXOTTICA 0.375 19-27 27/11A | Anleihen | EUR | 0.04% |
XS1401331753 | CARREFOUR SA 0.75 16-24 26/04A | Anleihen | EUR | 0.04% |
XS1685481332 | NATIONAL AUSTRALIA BK 0.625 17-24 18/09A | Anleihen | EUR | 0.04% |
EU000A1G0DQ6 | EUR FIN STAB REGS 0.375 17-24 11/04A | Anleihen | EUR | 0.04% |
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XS2190256706 | SNAM S.P.A. 0.75 20-30 17/06A | Anleihen | EUR | 0.04% |
DE000LB1DSM2 | LB BADEN-WUERTTEMB 0.375 17-25 27/02A | Anleihen | EUR | 0.04% |
XS2182054887 | SIEMENS FINANCIERING 0.375 20-26 05/06A | Anleihen | EUR | 0.04% |
EU000A1Z6630 | EUROPEAN UNION 0.625 15-23 04/11S | Anleihen | EUR | 0.04% |
XS1456422135 | JPMORGAN CHASE & CO 0.625 16-24 25/01A | Anleihen | EUR | 0.04% |
FR0013516069 | ESSILORLUXOTTICA 0.375 20-26 05/01A | Anleihen | EUR | 0.04% |
XS1327027998 | MASTERCARD 1.10 15-22 01/12S | Anleihen | EUR | 0.04% |
IT0005365231 | INTESA SANPAOLO 0.5000 19-24 05/03A | Anleihen | EUR | 0.04% |
FR0013431137 | AGENCE FRANCAISE DVP 0.25 19-29 29/06A | Anleihen | EUR | 0.04% |
XS2339399359 | COCA-COLA CO 0.95 21-36 06/05A | Anleihen | EUR | 0.04% |
XS2028816028 | BANCO DE SABADELL SA 0.875 19-25 22/07A | Anleihen | EUR | 0.04% |
XS1917808922 | WESTPAC BANKING 0.50 18-23 14/12A | Anleihen | EUR | 0.04% |
FR0013201126 | CIE FIN ET IND AUTO0.375 16-25 07/02A | Anleihen | EUR | 0.04% |
XS1963717704 | NORDEA MTGE 0.25 19-26 18/03A | Anleihen | EUR | 0.04% |
XS1575991358 | EUROPEAN INVESTMEN 0.25 17-24 14/10Q | Anleihen | EUR | 0.04% |
DE000NRW0MA1 | GERMANY 0.2 20-30 09/04A | Anleihen | EUR | 0.04% |
XS2082324364 | BARCLAYS PLC FL.R 19-25 09/06A | Anleihen | EUR | 0.04% |
XS2193666042 | DEUTSCHE BAHN FINANC 0.375 20-29 23/06A | Anleihen | EUR | 0.04% |
DE000CZ40N04 | COMMERZBANK AG 0.625 19-24 28/08A | Anleihen | EUR | 0.04% |
DE000A14J3F7 | BERLIN 465 0.25 15-25 22/04A | Anleihen | EUR | 0.04% |
XS2065601937 | IREN SPA 0.8750 19-29 14/10A | Anleihen | EUR | 0.04% |
XS1425199848 | CREDIT AGRICOLE LDN 0.75 16-22 01/12A | Anleihen | EUR | 0.04% |
XS2112289207 | TELEFONICA EMISIONES 0.664 20-30 03/02A | Anleihen | EUR | 0.04% |
XS2101336316 | ABN AMRO BANK NV 0.375 20-35 14/01A | Anleihen | EUR | 0.04% |
DE000A161ZL4 | DEUTSCHE GENOSSEN 0.625 15-23 27/10A | Anleihen | EUR | 0.04% |
DE000A1680L2 | FREIE HANSES BREMEN 0.375 16-24 22/02A | Anleihen | EUR | 0.04% |
XS1394103789 | BNP PARIBAS REGS 0.75 16-22 11/11A | Anleihen | EUR | 0.04% |
BE6307427029 | BELFIUS BANQUE SA/NV 0.625 18-23 30/08A | Anleihen | EUR | 0.04% |
XS1872032369 | NATIONAL AUSTRALIA BK 0.625 18-23 30/08A | Anleihen | EUR | 0.04% |
XS2004880832 | MIZUHO FINANCIAL GR 0.523 19-24 10/06A | Anleihen | EUR | 0.03% |
XS1509003361 | AVIVA PLC 0.625 16-23 27/10A | Anleihen | EUR | 0.03% |
XS1550143421 | SWEDISH COVERED BO 0.375 17-24 16/02A | Anleihen | EUR | 0.03% |
XS2348638433 | ABN AMRO BANK NV 1 21-33 02/06A | Anleihen | EUR | 0.03% |
XS1948612905 | BMW FINANCE NV 0.6250 19-23 06/10A | Anleihen | EUR | 0.03% |
FR0013375797 | ARKEA HOME LOANS 0.375 18-24 04/03A | Anleihen | EUR | 0.03% |
XS1550988569 | NN GROUP NV 0.875 17-23 13/01A | Anleihen | EUR | 0.03% |
XS1881014374 | EUROPEAN INVEST BK 0.2 18-24 15/07A | Anleihen | EUR | 0.03% |
XS1457608013 | CITIGROUP 0.75 16-23 26/10A | Anleihen | EUR | 0.03% |
XS1909061597 | DNB BOLIGKREDIT 0.375 18-23 14/11A | Anleihen | EUR | 0.03% |
XS2404028230 | MORGAN STANLEY CAPIT 1.102 21-33 29/04A | Anleihen | EUR | 0.03% |
AT000B049796 | UNICREDIT BANK AUSTR 0.25 20-30 21/01A | Anleihen | EUR | 0.03% |
XS2200513070 | NATIONAL GRID ELECTR 0.823 20-32 07/07A | Anleihen | EUR | 0.03% |
XS2078918781 | LLOYDS BANKING GROUP 0.5 19-25 12/11A | Anleihen | EUR | 0.03% |
XS2126161764 | RELX FINANCE BV 0.5 20-28 10/03A | Anleihen | EUR | 0.03% |
XS1564325550 | LANDWIRTSCH. RE 0.2500 17-24 15/07A | Anleihen | EUR | 0.03% |
DE000A2RYD83 | DAIMLER INTL FI 0.625 19-23 27/02A | Anleihen | EUR | 0.03% |
FR0013476611 | BNP PARIBAS SA FL.R 20-32 15/01A | Anleihen | EUR | 0.03% |
ES0413211873 | BANCO BILBAO VIZCAYA 0.625 16-23 18/03A | Anleihen | EUR | 0.03% |
FR0013445335 | SUEZ FL.R 19-XX XX/XXA | Anleihen | EUR | 0.03% |
EU000A1G0DC6 | EUROPEAN FIN STABI 0.50 15-23 20/01A | Anleihen | EUR | 0.03% |
FR0014003MI6 | UNIBAIL-RODAMCO-WEST 1.375 21-33 25/05A | Anleihen | EUR | 0.03% |
DE000A2TSTU4 | KREDITANSTALT FUER 0.00 19-26 30/09A | Anleihen | EUR | 0.03% |
XS1626191107 | NEDERLAND WATERSCHAPS 0.25 17-24 07/06A | Anleihen | EUR | 0.03% |
EU000A1G0EA8 | EFSF 0.2000 18-24 17/01A | Anleihen | EUR | 0.03% |
DE000LB2CLH7 | LDBK BADEN WUERTT 0.375 19-26 29/07A | Anleihen | EUR | 0.03% |
DE000BHY0BJ9 | BERLIN HYP AG 0.375 18-23 28/08A | Anleihen | EUR | 0.03% |
FR0014000UG9 | CAISSE D'AMORTISSEME 0 20-26 02/12A | Anleihen | EUR | 0.03% |
XS1769040111 | NOVARTIS FINANCE SA 0.5 18-23 14/08A | Anleihen | EUR | 0.03% |
XS1788951090 | SKANDINAVISKA ENSKIL 0.50 18-23 13/03A | Anleihen | EUR | 0.03% |
FR0013461688 | AGENCE FRANCAISE DE 0.5000 19-35 31/05A | Anleihen | EUR | 0.03% |
DE000RLP0777 | RHINELAND PALAT 0.10 16-26 18/08A | Anleihen | EUR | 0.03% |
XS2366407018 | THERMO FISHER S 0.8000 21-30 18/10A | Anleihen | EUR | 0.03% |
XS2102495673 | BEI 0.05 20-30 16/01A | Anleihen | EUR | 0.03% |
DE000A289F29 | KREDITANSTALT FUER W 0 20-27 20/10A | Anleihen | EUR | 0.03% |
EU000A1Z99N4 | MECANISME EUROPEEN D 0 21-26 15/03A | Anleihen | EUR | 0.03% |
EU000A1G0EK7 | EUROPEAN FINANCIAL S 0 20-27 13/10A | Anleihen | EUR | 0.03% |
EU000A1G0EN1 | EUROPEAN FINANCIAL S 0 21-26 19/04A | Anleihen | EUR | 0.03% |
XS2083210729 | ERSTE GROUP BANK AG FL.R 19-30 10/06A | Anleihen | EUR | 0.03% |
DE000A2TR026 | STATE OF LOWER SAXONY 0.125 19-25 07/03A | Anleihen | EUR | 0.03% |
DE000A254PP9 | KREDITANSTALT FUER W 0 20-27 12/02A | Anleihen | EUR | 0.03% |
XS1622193248 | COOP RABOBANK 0.25 17-24 31/05A | Anleihen | EUR | 0.03% |
XS2168625460 | PEPSICO INC 0.25 20-24 06/05A | Anleihen | EUR | 0.03% |
FR0013219573 | CREDIT AGRICOLE LO 0.25 16-24 23/02A | Anleihen | EUR | 0.03% |
DE000A168Y22 | KFW 0.375 16-23 15/03A | Anleihen | EUR | 0.03% |
DE000A3E5LU1 | KREDITANSTALT FUER WIED 0.0 21-28 25/08U | Anleihen | EUR | 0.03% |
FR0014004016 | CAISSE D'AMORTISSEME 0 21-26 15/06A | Anleihen | EUR | 0.03% |
EU000A1U9951 | EURO STAB MECHANISM 0.125 16-24 22/04A | Anleihen | EUR | 0.03% |
DE000A2DAR24 | KFW 0.125 17-24 15/01A | Anleihen | EUR | 0.03% |
XS1391589626 | LLOYDS BANK PLC 0.50 16-23 11/04A | Anleihen | EUR | 0.03% |
EU000A1G0EJ9 | EUROPEAN FINANCIAL S 0 20-25 15/07A | Anleihen | EUR | 0.03% |
EU000A1G0EE0 | EFSF 0.05 19-29 17/10A | Anleihen | EUR | 0.03% |
DE000A2LQNP8 | DEUT PFANDBRIEFBANK AG 0.25 19-24 29/01A | Anleihen | EUR | 0.03% |
XS2146198739 | THE TORONTO-DOMINION 0.25 20-24 26/03A | Anleihen | EUR | 0.03% |
XS1856833543 | BFCM 0.50 18-22 16/11A | Anleihen | EUR | 0.03% |
DE000A254PS3 | KREDITANSTALT FUER W 0.01 20-25 31/03A | Anleihen | EUR | 0.03% |
XS1823246712 | BMW FINANCE NV 0.5000 18-22 22/11A | Anleihen | EUR | 0.03% |
DE000A255D88 | SAXONY 0.125 20-30 10/01A | Anleihen | EUR | 0.03% |
XS1942615607 | ROYAL BANK OF CANADA 0.25 19-24 29/01A | Anleihen | EUR | 0.03% |
XS2058556536 | THERMO FISHER SCIENT 0.50 19-28 01/03A | Anleihen | EUR | 0.03% |
XS2346225878 | METROPOLITAN LIFE GL 0.5 21-29 27/05A | Anleihen | EUR | 0.03% |
DE000A254PM6 | KREDITANSTALT FUER W 0 20-25 14/01A | Anleihen | EUR | 0.03% |
XS2104051433 | BANCO BILBAO VIZCAYA FL.R 20-30 16/01A | Anleihen | EUR | 0.03% |
XS1995620967 | SPAREBANK 1 BOLIGKRE 0.125 19-26 14/05A | Anleihen | EUR | 0.03% |
DE000A185QA5 | EVONIK FINANCE BV 0.375 16-24 07/09A | Anleihen | EUR | 0.03% |
IT0005466013 | ITALY BUONI POL TESORO 0.95 21-32 01/06S | Anleihen | EUR | 0.03% |
EU000A1Z99M6 | MECANISME EUROPEEN D 0 21-26 15/03A | Anleihen | EUR | 0.03% |
FR0013231081 | CIE FINANCEMENT FO 0.325 17-23 12/09A | Anleihen | EUR | 0.03% |
XS1950839677 | BANQUE EUROPEENNE 0.05 19-24 24/05A | Anleihen | EUR | 0.03% |
FR0013141066 | CA HOME LOAN 0.375 16-23 24/03A | Anleihen | EUR | 0.03% |
XS1880870602 | SANTANDER UK PL 0.3750 18-23 20/09A | Anleihen | EUR | 0.03% |
XS1811023735 | COMMONWEALTH BK 0.375 18-23 24/04A | Anleihen | EUR | 0.03% |
EU000A1Z99J2 | EURO STABILITY 0.0000 19-25 14/03A | Anleihen | EUR | 0.03% |
FR0013505575 | CREDIT AGRICOLE 0.125 20-24 16/12A | Anleihen | EUR | 0.03% |
XS1377941106 | BANK OF NOVA SCOTI 0.375 16-23 10/03A | Anleihen | EUR | 0.03% |
FR0013506870 | CREDIT MUTUEL HOME L 0.125 20-25 09/04A | Anleihen | EUR | 0.03% |
DE000BHY0HW9 | BERLIN HYP AG 0.25 21-33 19/05A | Anleihen | EUR | 0.03% |
DE000A2LQSJ0 | KFW 0.1250 18-23 07/11A | Anleihen | EUR | 0.03% |
XS1989375412 | ROYAL BANK OF CANADA 0.250 19-24 02/05A | Anleihen | EUR | 0.03% |
XS2331327564 | KREDITANSTALT FUER 0.00 21-29 15/06A | Anleihen | EUR | 0.03% |
XS2014287937 | BANCO SANTANDER SA 0.25 19-24 19/06A | Anleihen | EUR | 0.03% |
DE000A1KRJR4 | ING DIBA 0.25 18-23 09/10A | Anleihen | EUR | 0.03% |
XS2091604715 | CHUBB INA HOLDI 0.3000 19-24 15/12A | Anleihen | EUR | 0.03% |
FR00140002P5 | CAISSE D'AMORTISSEME 0 20-28 06/10A | Anleihen | EUR | 0.03% |
DE000A2LQSP7 | KFW 0.0000 19-24 02/04A | Anleihen | EUR | 0.03% |
XS2320745156 | HANNOVER RUECK SE 1.375 21-42 22/03A | Anleihen | EUR | 0.03% |
EU000A1G0D39 | EFSF 0.125 17-23 17/10A | Anleihen | EUR | 0.03% |
FR0013358496 | SOCIETE GENERALE SFH 0.25 18-23 11/09A | Anleihen | EUR | 0.03% |
DE000A2YNVY3 | DEUTSCHE PFANDBRIEFB 0.1 20-28 21/01A | Anleihen | EUR | 0.03% |
XS2387713238 | ABN AMRO 0.40 21-41 17/09A | Anleihen | EUR | 0.03% |
FR0013482189 | CAISSE FR DE FI LOCAL 0.375 20-40 13/02A | Anleihen | EUR | 0.03% |
FR0014000AU2 | AGENCE FRANCE L 0.00 20-27 28/10A | Anleihen | EUR | 0.03% |
FR0013463650 | ESSILORLUXOTTIC SA 0.125 19-25 27/05A | Anleihen | EUR | 0.03% |
DE000SHFM816 | STATE OF SCHLESWIG-HO 0.01 21-25 02/09A | Anleihen | EUR | 0.03% |
EU000A1G0EC4 | EUR FIN 0.0 19-24 19/02A | Anleihen | EUR | 0.03% |
XS2346207892 | AMERICAN TOWER CORP 0.875 21-29 21/05A | Anleihen | EUR | 0.03% |
XS2102284622 | BNG BANK N.V. 0.1 20-30 15/01A | Anleihen | EUR | 0.03% |
DE000A2LQHV8 | KRED FUR WIEDER 0.125 18-23 07/06A | Anleihen | EUR | 0.03% |
FR0013455540 | BPCE SA 0.5000 19-27 24/02A | Anleihen | EUR | 0.03% |
XS1368698251 | BANK V.NED.GEM. 0.25 16-23 22/02A | Anleihen | EUR | 0.03% |
XS2159795124 | MUNICIPALITY FINANCE 0 20-25 22/04A | Anleihen | EUR | 0.03% |
DE000A2NB9Y6 | GERMANY 0.01 20-27 18/05A | Anleihen | EUR | 0.03% |
XS2013525501 | LLOYDS BANK PLC 0.125 19-26 18/06A | Anleihen | EUR | 0.03% |
XS2029574634 | ALD SA 0.375 19-23 18/07A | Anleihen | EUR | 0.03% |
DE000A1RQDR4 | GERMANY 0 20-25 10/03A | Anleihen | EUR | 0.03% |
XS2102948994 | TOYOTA MOTOR CREDIT 0.25 20-26 16/01A | Anleihen | EUR | 0.03% |
XS1824294901 | ASIAN DEVELOPMENT BK 0.2 18-23 25/05A | Anleihen | EUR | 0.03% |
XS2075811781 | SES SA 0.875 19-27 04/11A | Anleihen | EUR | 0.03% |
EU000A1Z99E3 | EURO STABILITY 0.1000 18-23 31/07A | Anleihen | EUR | 0.03% |
XS1492825051 | NOVARTIS FINANCE S 0.125 16-23 20/09A | Anleihen | EUR | 0.03% |
XS2101528144 | MUNICIPALITY FINANCE PLC 20-24 15/11U | Anleihen | EUR | 0.03% |
DK0030486402 | EURONEXT NV 0.75 21-31 17/05A | Anleihen | EUR | 0.03% |
FR0014003MJ4 | UNIBAIL-RODAMCO-WEST 0.75 21-28 25/05A | Anleihen | EUR | 0.03% |
XS1825405878 | COUNCIL OF EURO 0.1250 18-23 25/05A | Anleihen | EUR | 0.03% |
XS2207657417 | NATIONWIDE BUILDING 0.25 20-25 22/07A | Anleihen | EUR | 0.03% |
FR0014000667 | UNION NAT.INTERPRO.EMP 0.0 20-28 25/11A | Anleihen | EUR | 0.03% |
XS2115091808 | INTERNATIONAL BUSINE 0.65 20-32 11/02A | Anleihen | EUR | 0.03% |
XS2112475509 | PROLOGIS EURO FINANCE 0.375 20-28 06/02A | Anleihen | EUR | 0.03% |
DE000A2R9ZT1 | DAIMLER INTL FI 0.2500 19-23 06/11A | Anleihen | EUR | 0.03% |
DE000A2BPB50 | KFW 0.00 16-23 15/09A | Anleihen | EUR | 0.03% |
DE000MHB61E7 | MUENCHENER HYPOTHEKEN 0.500 19-26 08/06A | Anleihen | EUR | 0.03% |
XS1489409679 | EUROP.INVEST.BK 0.00 16-23 16/10A | Anleihen | EUR | 0.03% |
DE000CZ40LM6 | COMMERZBANK AG 0.05 16-24 11/07A | Anleihen | EUR | 0.03% |
FR0013476199 | BPCE S.A. 0.25 20-26 15/01A | Anleihen | EUR | 0.03% |
XS2002504194 | SWEDBANK MORTGAGE AB 0.05 19-25 28/05A | Anleihen | EUR | 0.03% |
EU000A1Z99L8 | MECANISME EUROPEEN D 0.01 20-30 04/03A | Anleihen | EUR | 0.03% |
DE000A289PC3 | DZ HYP AG 0.01 20-25 12/09A | Anleihen | EUR | 0.03% |
DE000A2AASV2 | GEMEINSAME BUNDESL 0.125 16-23 14/04A | Anleihen | EUR | 0.03% |
XS2106576494 | LANDESBANK HESSEN-TH 0.01 20-25 22/01A | Anleihen | EUR | 0.03% |
DE000NRW0L93 | GERMANY 0 20-24 02/04A | Anleihen | EUR | 0.03% |
FR0013507365 | COMPAGNIE DE FINANCE 0.05 20-24 16/04A | Anleihen | EUR | 0.03% |
DE000RLP0736 | STATE RHINE-PALAT 0.125 16-23 01/03A | Anleihen | EUR | 0.03% |
XS2381566616 | BNG BANK N.V 0.0 21-28 31/08A | Anleihen | EUR | 0.03% |
XS2225428809 | BEI 0.00 20-30 09/09A | Anleihen | EUR | 0.03% |
XS2113889351 | BANCO SANTANDER SA 0.5 20-27 04/02A | Anleihen | EUR | 0.03% |
BE0002707884 | KBC BANK SA 0 20-25 03/06A | Anleihen | EUR | 0.03% |
XS1835983922 | LANDWIRTSCHAFTLICHE 0.05 18-23 12/06A | Anleihen | EUR | 0.03% |
XS2391832719 | NEDER WATERSCHA 0.3750 21-46 28/09A | Anleihen | EUR | 0.03% |
FR0014003SA0 | BANQUE FEDERATIVE DU 0.625 21-28 03/06A | Anleihen | EUR | 0.03% |
FR0013444544 | DASSAULT SYSTEM 0.1250 19-26 16/09A | Anleihen | EUR | 0.03% |
FR0013448032 | WORLDLINE SA 0.25 19-24 18/09A | Anleihen | EUR | 0.03% |
XS1506604161 | BANK OF MONTREAL 0.10 16-23 20/10A | Anleihen | EUR | 0.03% |
XS1855427859 | BK NEDER GEM 0.05 18-23 11/07A | Anleihen | EUR | 0.03% |
XS1492834806 | ANZ NEW ZEALAND LDN 0.125 16-23 22/09A | Anleihen | EUR | 0.03% |
ES0413860554 | BANCO SABADELL SA 0.125 16-23 20/10A | Anleihen | EUR | 0.03% |
XS2347663507 | ASTRAZENECA PLC 0.375 21-29 03/06A | Anleihen | EUR | 0.03% |
FR0013235165 | CADES 0.125 17-22 25/11A | Anleihen | EUR | 0.03% |
XS1843433639 | CHILE 0.83 19-31 02/07A | Anleihen | EUR | 0.03% |
FR0013511615 | CAISSE FRANCAISE DE 0.01 20-25 07/05A | Anleihen | EUR | 0.03% |
XS2101349723 | BANCO BILBAO VIZCAYA 0.5 20-27 14/01A | Anleihen | EUR | 0.03% |
DE000A289RK2 | KREDITANSTALT FUER W 0 20-30 03/09A | Anleihen | EUR | 0.03% |
XS2117462627 | DEUTSCHE BAHN FINANCE 0,00 20-24 14/02A | Anleihen | EUR | 0.03% |
XS2283340060 | BEI 0.0 21-31 14/01A | Anleihen | EUR | 0.03% |
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XS2251736992 | HSBC HOLDINGS PLC FL.R 20-31 13/11A | Anleihen | EUR | 0.03% |
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DE000A1RQDW4 | GERMANY 0.01 20-30 13/05A | Anleihen | EUR | 0.03% |
FR0013534278 | APRR SA 0.125 20-29 18/09A | Anleihen | EUR | 0.03% |
FR0014004KP3 | CRED MUTUEL HOME LOAN 0.01 21-28 20/07A | Anleihen | EUR | 0.03% |
DE000A3MP4S3 | VONOVIA SE 0.0000 21-23 01/09A | Anleihen | EUR | 0.03% |
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DE000A2LQPC1 | GERMANY 0.01 20-30 03/06A | Anleihen | EUR | 0.03% |
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FR0014002X50 | COMPAGNIE DE FINANCE 0.01 21-29 16/04A | Anleihen | EUR | 0.03% |
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FR0014004750 | BANQUE FEDERATIVE DU 0.25 21-28 29/06A | Anleihen | EUR | 0.03% |
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XS2338643740 | MORGAN STANLEY 0.406 21-27 30/04A | Anleihen | EUR | 0.03% |
XS2337060607 | CCEP FINANCE (IRELAN 0 21-25 06/05A | Anleihen | EUR | 0.03% |
DE000A3H2TK9 | DEUTSCHE GENOSSENSCHAF 0.01 21-30 29/03A | Anleihen | EUR | 0.03% |
XS2351089508 | BANK OF MONTREA 0.0500 21-29 08/06A | Anleihen | EUR | 0.03% |
XS2118213888 | AUSNET SERVICES HOLD 20-30 25/02A | Anleihen | EUR | 0.03% |
DE000A3H25B4 | THURINGIA 0.01 21-31 24/03A | Anleihen | EUR | 0.03% |
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FR0010292169 | CIE DE FIN.FONCIER 3.875 06-55 25/04A | Anleihen | EUR | 0.03% |
XS2342206591 | WESTPAC BANKING CORP 0.766 21-31 13/05A | Anleihen | EUR | 0.03% |
XS2300313041 | FIRST ABU DHABI BANK 0.125 21-26 16/02A | Anleihen | EUR | 0.03% |
XS2322289385 | BANCO BILBAO VIZCAYA FL.R 21-27 24/03A | Anleihen | EUR | 0.03% |
FR0014004R72 | ALSTOM SA 0.5 21-30 27/07A | Anleihen | EUR | 0.03% |
DE000A2LQPK4 | FREE AND HANSEATIC CIT 0.01 21-31 29/09A | Anleihen | EUR | 0.03% |
XS2360589217 | NATIONAL AUSTRA 0.0100 21-29 06/01A | Anleihen | EUR | 0.03% |
FR0014004OP5 | BNP PARIBAS HOME LOA 0 21-29 21/07A | Anleihen | EUR | 0.03% |
XS2338955805 | TOYOTA MOTOR CREDIT 0.125 21-27 06/05A | Anleihen | EUR | 0.03% |
FR0014002X43 | BNP PARIBAS SA 0.25 21-27 13/04A | Anleihen | EUR | 0.03% |
FR0013519568 | CAISSE FRANCAISE DE 0.01 20-30 24/06A | Anleihen | EUR | 0.03% |
XS2386220698 | ELI LILLY & CO 1.3750 21-61 14/09A | Anleihen | EUR | 0.03% |
XS2342058117 | HOLDING D'INFRASTRUC 0.625 21-28 14/05A | Anleihen | EUR | 0.03% |
FR0014005J14 | CREDIT AGRICOLE FL.R 21-29 21/09A | Anleihen | EUR | 0.03% |
XS2235987224 | MONDELEZ INTERNATION 0.375 20-29 22/09A | Anleihen | EUR | 0.03% |
XS2289404704 | BNG BANK N.V. 0.00 21-31 20/01A | Anleihen | EUR | 0.03% |
ES0413900608 | BANCO SANTANDER SA 0.1 20-32 27/02A | Anleihen | EUR | 0.03% |
XS2234573710 | BAWAG BK FUR ARBT WIRT 0.01 20-30 23/09A | Anleihen | EUR | 0.03% |
FR0014005NA6 | AGENCE FRANCAIS 0.1250 21-31 29/09A | Anleihen | EUR | 0.03% |
XS2388390689 | WESTPAC BANKING CORP 0.375 21-36 22/09A | Anleihen | EUR | 0.03% |
FR0014001QL5 | SOCIETE GENERALE SFH 0.01 21-31 05/02A | Anleihen | EUR | 0.03% |
FR0013534559 | CAISSE D'AMORTISSEME 0 20-30 16/09A | Anleihen | EUR | 0.03% |
XS2375844144 | BECTON DICKINSON EUR 0.334 21-28 13/08A | Anleihen | EUR | 0.03% |
XS2330514899 | ROMANIA 2.75 21-41 14/04A | Anleihen | EUR | 0.03% |
XS2298304499 | BANCO SANTANDER SA 0.2 21-28 11/02A | Anleihen | EUR | 0.03% |
XS2383901761 | MIZUHO FINANCIAL GROUP 0.47 21-29 06/09A | Anleihen | EUR | 0.03% |
DE000A3MP4T1 | VONOVIA SE 0.0 21-25 01/12A | Anleihen | EUR | 0.03% |
FR0014002P50 | UNEDIC 0.01 21-31 25/05A | Anleihen | EUR | 0.03% |
DE000A3H3JU7 | LEG IMMOBILIEN SE 0.875 21-33 30/03A | Anleihen | EUR | 0.03% |
XS2045886434 | KOMMUNEKREDIT 0.00 19-30 27/08A | Anleihen | EUR | 0.03% |
XS2289593670 | DNB BOLIGKREDITT AS 0.01 21-31 21/01A | Anleihen | EUR | 0.03% |
AT0000A2RAA0 | ERSTE GROUP BANK AG 0.125 21-28 17/05A | Anleihen | EUR | 0.03% |
XS2354444023 | JDE PEET'S B.V. 0 21-26 16/06A | Anleihen | EUR | 0.03% |
XS2384726449 | MONDELEZ INTL HLDINGS 1.25 21-41 09/09A | Anleihen | EUR | 0.03% |
FR0014001GV5 | CAISSE FRANCAISE DE 0.01 21-31 18/01A | Anleihen | EUR | 0.03% |
XS2381853436 | NATIONAL GRID P 0.7500 21-33 01/09A | Anleihen | EUR | 0.03% |
XS2354569407 | JDE PEET'S B.V. 0.5 21-29 16/06A | Anleihen | EUR | 0.03% |
FR0014001JT3 | BNP PARIBAS SA FL.R 21-30 19/01A | Anleihen | EUR | 0.03% |
FR0014001S17 | CAISSE D'AMORTISSEME 0 21-31 03/02A | Anleihen | EUR | 0.03% |
XS2307863642 | COCA-COLA CO 0.125 21-29 09/03A | Anleihen | EUR | 0.03% |
FR0013330529 | UNIBAIL RODAMCO FL.R 18-XX 25/10A | Anleihen | EUR | 0.03% |
XS2233154538 | COCA-COLA CO 0.125 20-29 18/09A | Anleihen | EUR | 0.03% |
XS2375844656 | BECTON DICKINSON EURO 1.336 21-41 13/08A | Anleihen | EUR | 0.03% |
XS2385791046 | SANTANDER UK GR FL.R 21-29 13/09A | Anleihen | EUR | 0.03% |
XS2312584779 | SR-BOLIGKREDITT AS 0.01 21-32 10/03A | Anleihen | EUR | 0.03% |
XS2235996217 | NOVARTIS FINANCE SA 0 20-28 23/09A | Anleihen | EUR | 0.03% |
BE0000353624 | BELGIUM 0.65 21-71 22/06A | Anleihen | EUR | 0.03% |
EU000A1G0D96 | EFSF 1.75 18-53 17/07A | Anleihen | EUR | 0.03% |
XS2291788656 | ROYAL BANK OF C 0.0100 21-31 27/01A | Anleihen | EUR | 0.03% |
XS2055781962 | BANQUE EUROP INV 0.05 19-34 19/34A | Anleihen | EUR | 0.03% |
XS2381362966 | BANK OF NOVA 0.25 21-28 01/11A | Anleihen | EUR | 0.03% |
XS2386877133 | ESSITY CAPITAL BV 0.25 21-29 15/09A | Anleihen | EUR | 0.03% |
XS2369244327 | CHILE GOVERNMENT INTERN 1.3 21-36 26/07A | Anleihen | EUR | 0.03% |
BE6330288687 | AEDIFICA NV 0.75 21-31 09/09A | Anleihen | EUR | 0.03% |
XS2290544068 | CPI PROPERTY GROUP S 1.5 21-31 27/01A | Anleihen | EUR | 0.03% |
XS2199719233 | BNG BANK N.V. 0.125 20-35 09/07A | Anleihen | EUR | 0.03% |
FR00140057U9 | BNP PARIBAS -33 31/08A | Anleihen | EUR | 0.03% |
XS2387052744 | CASTELLUM HELSINKI 0.875 21-29 17/09A | Anleihen | EUR | 0.03% |
BE0002766476 | KBC GROUPE SA 0.125 21-29 14/01A | Anleihen | EUR | 0.03% |
FR0014000UL9 | BNP PARIBAS SA 0.625 20-32 03/12A | Anleihen | EUR | 0.03% |
FR0014000XY6 | CNP ASSURANCES 0.375 20-28 08/12A | Anleihen | EUR | 0.03% |
XS2386583145 | HUNGARY GOVERNMENT IN 0.125 21-28 21/09A | Anleihen | EUR | 0.03% |
XS2262263622 | CANADA 0.01 20-30 24/11A | Anleihen | EUR | 0.03% |
XS2250201329 | CANADA 0 20-30 29/10A | Anleihen | EUR | 0.03% |
XS2273810510 | AROUNDTOWN SA 0 20-26 16/12A | Anleihen | EUR | 0.03% |
DE000NWB0AK3 | NRW.BANK 0.1 20-35 09/07A | Anleihen | EUR | 0.03% |
DE000A3MP4W5 | VONOVIA SE 1.625 21-51 01/09A | Anleihen | EUR | 0.03% |
FR0014001ZY9 | UNION NATIONALE INT 0.00 21-34 25/05A | Anleihen | EUR | 0.03% |
XS2281155254 | ING GROUP NV 0.25 21-30 11/01A | Anleihen | EUR | 0.03% |
DE0001053593 | FREISTAAT BAYER 0.0100 20-35 18/01A | Anleihen | EUR | 0.03% |
XS2296204444 | PROLOGIS EURO FINANC 0.5 21-32 16/02A | Anleihen | EUR | 0.03% |
XS2264161964 | TELIA COMPANY AB 0.125 20-30 27/11A | Anleihen | EUR | 0.03% |
DE000NRW0K52 | LAND NORDRHEIN-WEST 1.5000 18-40 12/06A | Anleihen | EUR | 0.03% |
ES0000012H58 | SPAIN 1.45 21-71 31/10A | Anleihen | EUR | 0.03% |
DE000NRW0ML8 | GERMANY 0.00 20-35 12/10U | Anleihen | EUR | 0.03% |
DE000A2GSFA2 | KFW 0.50 17-27 15/09A | Anleihen | EUR | 0.03% |
FR0014001MN0 | BPCE SFH 0.01 21-36 29/01A | Anleihen | EUR | 0.03% |
FR0014000C08 | SOCIETE NATIONALE SN 0.875 20-51 30/10A | Anleihen | EUR | 0.03% |
FR0000471930 | ORANGE SA 8.125 03-33 28/01A | Anleihen | EUR | 0.03% |
SI0002103966 | SLOVENIA 0.275 20-30 17/02A | Anleihen | EUR | 0.03% |
FI4000440557 | FINLAND 0.25 20-40 15/09A | Anleihen | EUR | 0.03% |
AT0000A1PEF7 | AUSTRIA 1.50 16-86 02/11A | Anleihen | EUR | 0.03% |
XS2199493169 | POLAND 0.00 20-23 07/07A | Anleihen | EUR | 0.03% |
DE0001030732 | BUNDESREPUBLIK DEUTS 0.0 21-31 15/08A | Anleihen | EUR | 0.03% |
SI0002103164 | SLOVENIA 5.125 11-26 30/03A | Anleihen | EUR | 0.03% |
XS2160861808 | BANQUE INTERNATIONAL 0.01 20-28 24/04A | Anleihen | EUR | 0.03% |
EU000A1G0D05 | EFSF 1.45 17-40 05/09A | Anleihen | EUR | 0.03% |
SK4120013400 | SLOVAKIA 2.00 17-47 17/10A | Anleihen | EUR | 0.03% |
SK4120011636 | SLOVAKIA ZCP 16-23 13/11U | Anleihen | EUR | 0.03% |
AT0000A2HLC4 | AUSTRIA 0.85 30/06 20-2120A | Anleihen | EUR | 0.03% |
DE000A2AAPM7 | LAND BERLIN 1.375 17-37 05/06A | Anleihen | EUR | 0.03% |
XS2102357014 | BMW FINANCE NV 0.375 20-27 14/07A | Anleihen | EUR | 0.03% |
XS1968706876 | ROMANIA 4.625 19-49 03/04A | Anleihen | EUR | 0.03% |
DE000A289KZ5 | GERMANY 0.01 20-27 06/07A | Anleihen | EUR | 0.03% |
DE000A3H2ZF6 | KREDITANSTALT FUER 0.00 21-31 10/01A | Anleihen | EUR | 0.03% |
DE000NRW0L10 | GERMANY 1.375 20-20 15/01A | Anleihen | EUR | 0.03% |
XS1753042743 | EUROPEAN INVEST BANK 1.5 18-48 16/10A | Anleihen | EUR | 0.03% |
ES0414950644 | BANKIA SA 4.125 06-36 24/03A | Anleihen | EUR | 0.03% |
XS1422953932 | EUROP.INVEST.BK 1.00 16-32 14/04A | Anleihen | EUR | 0.03% |
XS1637276848 | CYPRUS 2.75 17-24 27/06A | Anleihen | EUR | 0.03% |
EU000A1G0DN3 | EFSF 2.00 28-28 17/02A | Anleihen | EUR | 0.03% |
XS0841073793 | POLAND 3.375 12-24 09/07A | Anleihen | EUR | 0.03% |
XS1883942648 | CYPRUS 2.375 18-28 25/09A | Anleihen | EUR | 0.03% |
SK4120011420 | SLOVAKIA 1.625 16-31 21/01A | Anleihen | EUR | 0.03% |
FI4000415153 | FINLAND 0.125 20-36 15/04A | Anleihen | EUR | 0.03% |
XS0884635524 | BEI 2.75 13-40 15/03A | Anleihen | EUR | 0.03% |
SI0002103677 | SLOVENIA 1.75 16-40 03/11A | Anleihen | EUR | 0.03% |
EU000A1U9944 | ESM 0.50 16-26 02/03A | Anleihen | EUR | 0.02% |
SK4120014150 | SLOVAKIA 1.00 18-28 12/06A | Anleihen | EUR | 0.02% |
DE000A2AAWG5 | BRANDENBURG 1.45 18-38 27/11A | Anleihen | EUR | 0.02% |
XS1345331299 | BNP PARIBAS 1.125 16-23 15/01A | Anleihen | EUR | 0.02% |
ROE3GCPAFCP6 | ROMANIA GOVERNMENT B 1.00 18-23 13/12A | Anleihen | EUR | 0.02% |
SK4120015173 | REPUBLIQUE SLOVAQUE 0.75 19-30 09/04A | Anleihen | EUR | 0.02% |
XS2234571425 | BULGARIA 0.375 20-30 23/09A | Anleihen | EUR | 0.02% |
DE000A289NL9 | GERMANY 0.01 20-28 26/06A | Anleihen | EUR | 0.02% |
PTOTECOE0037 | PORTUGAL 1.00 21-52 12/04A | Anleihen | EUR | 0.02% |
ES0000012J15 | SPAIN 0.00 21-27 31/01A | Anleihen | EUR | 0.02% |
EU000A1G0BJ5 | EFSF 3.00 13-34 04/09A | Anleihen | EUR | 0.02% |
DE000SHFM709 | GERMANY 0.200 19-39 15/08A | Anleihen | EUR | 0.02% |
EU000A1G1Q17 | EUROPEAN UNION 3.375 12-32 04/04A | Anleihen | EUR | 0.02% |
SK4120009762 | SLOVAKIA 3.625 14-29 16/01A | Anleihen | EUR | 0.02% |
EU000A1U9902 | ESM EMTN 1.75 15-45 20/10A | Anleihen | EUR | 0.02% |
SK4000017158 | SLOVAKIA 0.25 20-25 14/05A | Anleihen | EUR | 0.02% |
XS1107247725 | BEI 1.75 14-45 15/09A | Anleihen | EUR | 0.02% |
EU000A1G0EG5 | EUROPEAN FINANCIAL S 0.7 20-50 20/01A | Anleihen | EUR | 0.02% |
XS1209947271 | POLAND 0.875 15-27 10/05A | Anleihen | EUR | 0.02% |
FI4000480488 | FINLAND 0.125 21-52 15/04A | Anleihen | EUR | 0.02% |
XS0300113254 | PROCTER & GAMBLE CO 4.875 07-27 11/05A | Anleihen | EUR | 0.02% |
SK4120008954 | SLOVAKIA GOVT BD 3.875 13-33 08/02A | Anleihen | EUR | 0.02% |
DE000NRW2152 | LAND NORDRHEIN WEST 2.375 13-33 13/05A | Anleihen | EUR | 0.02% |
DE000NRW0M35 | NORDRHEIN-WESTFALEN 0.5 21-52 15/01A | Anleihen | EUR | 0.02% |
XS1015428821 | POLOGNE (REP OF) 3.00 14-24 15/01S | Anleihen | EUR | 0.02% |
XS1346201889 | POLAND 2.375 16-36 18/01A | Anleihen | EUR | 0.02% |
SI0002103545 | SLOVENIA 2.125 15-25 28/07A | Anleihen | EUR | 0.02% |
EU000A1U9936 | ESM 1.85 15-55 01/12A | Anleihen | EUR | 0.02% |
XS1707075245 | NESTLE FINANCE INTL 1.75 17-37 02/11A | Anleihen | EUR | 0.02% |
XS1958534528 | POLAND 1.00 19-29 07/03A | Anleihen | EUR | 0.02% |
AT0000A2QQB6 | AUSTRIA 0.70 21-71 20/04A | Anleihen | EUR | 0.02% |
DE000NRW0LA3 | STATE OF NORTH 1.75 18-68 11/07A | Anleihen | EUR | 0.02% |
DE000NWB18M7 | NRW BANK 1.20 19-39 28/03A | Anleihen | EUR | 0.02% |
EU000A19XC51 | COMMUNAUTE EUROPEENNE 1.25 18-33 04/04A | Anleihen | EUR | 0.02% |
DE000MHB26J9 | MUENCHENER HYPOTHEKE 0.01 20-40 03/11A | Anleihen | EUR | 0.02% |
XS1361554584 | EUROP.INVEST.BK 1.125 16-36 15/09A | Anleihen | EUR | 0.02% |
SI0002103487 | SLOVENIA 1.50 15-35 25/03A | Anleihen | EUR | 0.02% |
DE000A2GSE59 | KFW 1.125 17-32 15/09A | Anleihen | EUR | 0.02% |
DE000A2G8W65 | FREIE HANSESTAD 1.0000 19-39 27/05A | Anleihen | EUR | 0.02% |
EU000A1U9977 | ESM 0.875 16-42 18/07A | Anleihen | EUR | 0.02% |
XS2161992198 | HUNGARY 1.1250 20-26 28/04A | Anleihen | EUR | 0.02% |
XS0937858271 | ABN AMRO BANK 2.50 13-23 29/11A | Anleihen | EUR | 0.02% |
EU000A18Z2D4 | EUROPEAN UNION 0.75 16-31 04/04A | Anleihen | EUR | 0.02% |
SI0002103685 | SLOVENIA 1.25 17-27 22/03A | Anleihen | EUR | 0.02% |
DE000A11QE78 | STATE OF BRANDENBURG 0.75 16-36 08/08A | Anleihen | EUR | 0.02% |
XS2178769159 | FRESENIUS MEDICAL CA 1.5 20-30 29/05A | Anleihen | EUR | 0.02% |
XS1069836077 | LINDE FINANCE REGS 1.875 14-24 22/05A | Anleihen | EUR | 0.02% |
XS2357951164 | DEUTSCHE BAHN FINANC 1.125 21-51 01/07A | Anleihen | EUR | 0.02% |
DE000NRW0MZ8 | GERMANY 0.6 21-41 04/06A | Anleihen | EUR | 0.02% |
XS1218809389 | BIRD 1.00 15-30 16/04A | Anleihen | EUR | 0.02% |
DE000AAR0231 | AAREAL BANK AG 0.125 18-23 01/02A | Anleihen | EUR | 0.02% |
XS1218821756 | ABN AMRO BANK REGS 1.00 15-25 16/04A | Anleihen | EUR | 0.02% |
DE000A2YNZX6 | DAIMLER AG 0.75 19-30 08/02A | Anleihen | EUR | 0.02% |
EU000A19VVY6 | EUROPEAN UNION 0.5 18-25 04/04A | Anleihen | EUR | 0.02% |
DE000NRW0MP9 | GERMANY 0.95 21-21 12/01A | Anleihen | EUR | 0.02% |
XS1978552237 | BANQUE EUROPEENNE D'IN 0.1 19-26 15/10A | Anleihen | EUR | 0.02% |
DE000CZ40M21 | COMMERZBANK AG 0.5000 18-23 28/08A | Anleihen | EUR | 0.02% |
DE000A2YNXD3 | FREIE HANSESTAD 0.4000 19-49 20/08A | Anleihen | EUR | 0.02% |
XS2049616894 | SIEMENS FINANCIERING 0.50 19-34 05/09A | Anleihen | EUR | 0.02% |
BE0000337460 | BELGIUM 1.00 16-26 22/06A | Anleihen | EUR | 0.02% |
SI0002103602 | SLOVENIA 2.25 16-32 03/03A | Anleihen | EUR | 0.02% |
DE000A289LA6 | GERMANY 0.35 20-50 09/09A | Anleihen | EUR | 0.02% |
DE000NRW0MJ2 | GERMANY 0.375 20-50 02/09A | Anleihen | EUR | 0.02% |
DE000NWB0AH9 | NRW BANK 0.00 19-29 15/10A | Anleihen | EUR | 0.02% |
SI0002103842 | SLOVENIA 1.1875 19-29 14/03A | Anleihen | EUR | 0.02% |
XS2364199757 | ROMANIA 1.7500 21-30 13/07A | Anleihen | EUR | 0.02% |
XS2194790262 | BEI 0.01 20-35 15/11A | Anleihen | EUR | 0.02% |
DE000A255CW0 | GERMANY 0.05 20-35 10/03A | Anleihen | EUR | 0.02% |
SI0002103552 | SLOVENIA 3.125 15-45 07/08A | Anleihen | EUR | 0.02% |
DE000A14JZR8 | GERMANY 0.125 20-40 19/11A | Anleihen | EUR | 0.02% |
FI4000511449 | FINLAND 0.0021-26 15/09A | Anleihen | EUR | 0.02% |
DE000NRW0MQ7 | GERMANY 0.2 21-51 28/01A | Anleihen | EUR | 0.02% |
XS2287879733 | BEI 0.0100 21-41 15/05A | Anleihen | EUR | 0.02% |
DE000A289J90 | GERMANY 0.05 20-40 05/11A | Anleihen | EUR | 0.02% |
DE000A289K71 | LAND BERLIN 0.05 20-40 06/08A | Anleihen | EUR | 0.02% |
XS1936100483 | ISRAEL 1.5 19-29 16/01A | Anleihen | EUR | 0.02% |
XS2251330184 | INTL BK RECON & 0.1250 20-51 03/01A | Anleihen | EUR | 0.02% |
XS2289410420 | INTL BK RECON & 0.2000 21-61 21/01A | Anleihen | EUR | 0.02% |
EU000A1G30R0 | EUROPEAN UNION 3.375 12-38 04/04A | Anleihen | EUR | 0.02% |
SI0002104048 | SLOVENIA 0.4875 20-50 20/10A | Anleihen | EUR | 0.02% |
XS1768074319 | ROMANIA 3.375 18-38 08/02A | Anleihen | EUR | 0.02% |
XS1313004928 | ROMANIA 3.875 15-35 29/10A | Anleihen | EUR | 0.02% |
XS2161992511 | HUNGARY 1.6250 20-32 28/04A | Anleihen | EUR | 0.01% |
DE000A2YN2U2 | HOCHTIEF AG 0.5 19-27 03/09A | Anleihen | EUR | 0.01% |
XS1766612672 | POLAND 1.125 18-26 07/08A | Anleihen | EUR | 0.01% |
ROG3L3GMYYR6 | ROMANIA 0.70 21-26 24/08A | Anleihen | EUR | 0.01% |
XS1989383788 | REPUBLIC OF CYP 2.7500 19-49 03/05A | Anleihen | EUR | 0.01% |
XS1956050923 | CYPRUS GOVE 19-34 26/02U | Anleihen | EUR | 0.01% |
XS1420357318 | ROMANIA 2.875 16-28 26/05A | Anleihen | EUR | 0.01% |
XS1936101291 | ISRAEL 2.50 19-49 16/01A | Anleihen | EUR | 0.01% |
SK4000017166 | SLOVAKIA 1.00 20-32 14/05A | Anleihen | EUR | 0.01% |
XS2364754411 | REPUBLIC OF LIT 0.7500 21-51 15/07A | Anleihen | EUR | 0.01% |
XS2259191430 | HUNGARY 1.50 20-50 17/11A | Anleihen | EUR | 0.01% |
XS2189259018 | BEI 0.2500 20-40 15/06A | Anleihen | EUR | 0.01% |
SI0002104105 | SLOVENIA 21-31 12/02A | Anleihen | EUR | 0.01% |
SI0002104196 | SLOVENIA 0.125 21-31 01/07A | Anleihen | EUR | 0.01% |
SK4120008871 | SLOVAKIA 3.375 12-24 15/11A | Anleihen | EUR | 0.01% |
XS2234571771 | BULGARIA 1.375 20-50 23/09A | Anleihen | EUR | 0.01% |
XS2109813142 | ROMANIA 3.3750 20-50 28/01A | Anleihen | EUR | 0.01% |
SK4000019857 | SLOVAKIA GOVERN 1.0000 21-51 13/10A | Anleihen | EUR | 0.01% |
DE000A2TR083 | DAIMLER 2.0 19-31 27/02A | Anleihen | EUR | 0.01% |
XS2013678086 | REPUBLIC OF LIT 1.6250 19-49 19/06A | Anleihen | EUR | 0.01% |
XS1310032260 | REPUBLIC OF LITHUANIA 2.125 15-35 22/10A | Anleihen | EUR | 0.01% |
XS2105097393 | CYPRUS 1.2500 20-40 21/01A | Anleihen | EUR | 0.01% |
XS2181689659 | HUNGARY 1.75 20-35 05/06A | Anleihen | EUR | 0.01% |
SI0002103990 | SLOVENIA 0.875 20-21 15/07U | Anleihen | EUR | 0.01% |
XS1508566558 | POLAND (REP OF) 2.00 16-45 25/10A | Anleihen | EUR | 0.01% |
XS2168038847 | LITHUANIA 0.75 20-30 06/05A | Anleihen | EUR | 0.01% |
XS2210006339 | LITHUANIA 0.50 20-50 28/07A | Anleihen | EUR | 0.01% |
SK4120014184 | SLOVAKIA 2.25 18-68 12/06A | Anleihen | EUR | 0.00% |
XS1960361720 | POLAND 2.0000 19-49 08/03A | Anleihen | EUR | 0.00% |
XS1619568139 | REPUBLIC OF LITHUANIA 2.10 17-47 26/05A | Anleihen | EUR | 0.00% |
FI4000167317 | FINLAND 0.875 15-25 15/09A | Anleihen | EUR | 0.00% |