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Code alphanumérique qui identifie exclusivement l’instrument financier
Identifie une obligation à taux fixe/variable ou indexée
Identifiez les paramètres auxquels sont liés les coupons d’intérêt
Identiifie le degré de subordination
Particulier ou institutionnel
La devise correspond à la monnaie dans laquelle la valeur d’un titre est exprimée
L’action, l’indice d’actions, la devise, la matière première ou tout autre actif financier auquel la valeur de l’obligation est adossée

Une obligation est un titre de créance émis par une entreprise ou des organismes publics pour se financer. Une obligation est émise dans le but de lever des capitaux directement auprès des épargnants.
Sauf défaut de l’émetteur, en souscrivant une obligation, un investisseur a la garantie d’obtenir le remboursement du capital investi (au terme de la durée fixée), auquel s’ajoute un rendement versé selon des modalités et un échéancier définis au moment de l’émission et stipulés dans la documentation d’offre du produit.

ISIN
Nom
Type émission
Devise
date d’échéance
Statut émission
Type émission:
Strutturati
Devise:
USD
date d’échéance:
17.08.2020
Statut émission:
Senior
Valeur faciale minimale: 2,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopons equal to 2.50 per cent per annum payable on 17 August 2016; then variable coupons linked to the performance of Eurostoxx50 index, payable on 17 August 2017, 17 August 2018, 19 August 2019 and 17 August 2020, which could be equal to gross 4.50 per cent per annum or zero.
Type émission:
Strutturati
Devise:
USD
date d’échéance:
24.09.2020
Statut émission:
Senior
Valeur faciale minimale: 2,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopons equal to 2.50 per cent per annum payable on 24 September 2016; then variable coupons linked to the performance of Nikkei 225 index, payable on 25 September 2017, 24 September 2018, 24 September 2019 and 24 September 2020, which could be equal to gross 4.00 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
20.05.2021
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: variable coupons linked to the performance of Eurostoxx50 index, payable on 20 May of each year starting from and including 20 May 2016 up to and including 20 May 2021, which could be equal to gross annual 1.50 per cent for year 1, 2 per cent for year 2, 2.50 per cent for year 3, 4 per cent for year 4, 4,50 per cent for year 5 and 5 per cent for year 6, otherwise zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
30.06.2021
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopon equal to 3 per cent per annum for the first year payable on 30 June 2015; then variable coupons linked to the performance of Eurostoxx50 index, payable on 30 June of each year starting from and including 30 June 2016 up to and including 30 June 2021, which could be equal to gross 4 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
13.08.2021
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: variable coupons linked to the performance of Eurostoxx50® index, payable on 13 August of each year starting from and including 13 August 2015 up to and including 13 August 2021. The variable coupons could be equal to the gross 3,65 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
18.09.2021
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopon equal to 2.25 per cent per annum for the first year payable on 18 September 2015; then variable coupons linked to the performance of Eurostoxx50 index, payable on 18 September of each year starting from and including 18 September 2016 up to and including 18 September 2021, which could be equal to gross 3 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
15.10.2021
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: variable coupons linked to the performance of Eurostoxx50 index, payable on 15 October of each year starting from and including 15 October 2015 up to and including 15 October 2021, which could be equal to gross 3.25 per cent per annum or zero.
Type émission:
Strutturati
Devise:
USD
date d’échéance:
19.04.2022
Statut émission:
Senior
Valeur faciale minimale: 2,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopons equal to 2.70 per cent per annum payable on 17 April 2016, 17 April 2017 and 17 April 2018; then variable coupons linked to the performance of Eurostoxx50 index, payable on 17 April 2019, 21 April 2020, 19 April 2021 and 19 April 2022, which could be equal to gross 6 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
16.09.2022
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: Gross fixed cuopons equal to 1.80 per cent per annum payable on 19 September 2016; then variable coupons linked to the performance of a basket of indices including Eurostoxx50 index, S&P 500 index and Nikke 225 index, payable on 18 September 2017, 17 September 2018, 17 September 2019, 17 september 2020, 17 September 2021 and 16 September 2022, which could be equal to gross 3.50 per cent per annum or zero.
Type émission:
Strutturati
Devise:
EUR
date d’échéance:
28.10.2022
Statut émission:
Senior
Valeur faciale minimale: 1,000
Notation de l’émetteur: FITCH RATINGS BBB
STANDARD & POOR’S BBB
MOODY’S Baa1
Coupon: variable coupons linked to the performance of a basket of indices including Ftse100 index, S&P 500 index and Nikkei 225 index, will be payable on 28 October 2016, 30 October 2017, 29 October 2018, 28 October 2019, 28 October 2020, 28 October 2021 and 28 October 2022, and could be equal to gross 3.00 per cent per annum or zero.