|
ISIN: XS1317278361 Ticker: XS1317278361
Gs Intl Switchable Tf 4,65% Mg26 Usd
| Obbligazione | MIL |
|
ISIN: XS2982318243 Ticker: XS2982318243
Gs S/Dw 24/04/2035 Usd Call
| Obbligazione | Vorvel Bonds |
|
ISIN: Ticker: US428236BR31
Hp Inc 6,00% Call 15/09/2041
| Obbligazione | Vorvel Bonds |
|
ISIN: XS2388586401 Ticker: XS2388586401
Hungary Fx 2.125% Sep31 Usd
| Obbligazione | MIL |
|
ISIN: XS2388586583 Ticker: XS2388586583
Hungary Fx 3.125% Sep51 Usd
| Obbligazione | MIL |
|
ISIN: XS2010026305 Ticker: XS2010026305
Hungary Fx 5.25% Jun29 Usd
| Obbligazione | MIL |
|
ISIN: XS2010026487 Ticker: XS2010026487
Hungary Fx 5.5% Jun34 Usd
| Obbligazione | MIL |
|
ISIN: Ticker: US445545AF36
Hungary Tf 7,625% Mz41 Usd
| Obbligazione | MIL |
|
ISIN: Ticker: US4581X0BX51
Iadb Fx 3.2% Aug42 Usd
| Obbligazione | MIL |
|
ISIN: Ticker: US4581X0BT40
Iadb Fx 3.875% Oct41 Usd
| Obbligazione | MIL |