Símbolo | YTM % | Volumen | Precio % | Cupón % | Fecha de vencimiento | Imp. pendiente | Valor nominal | Imp. mín. denom. | Emisor |
---|---|---|---|---|---|---|---|---|---|
XS178860593SECURITAS AB 18/25 MTN 26 | 3,43% | 0 | 99,61% | 1,25% | 2025-03-06 | 300 M EUR | 1.000,00 EUR | 100.000,00 EUR | Securitas AB |
XXS277141809SEC.TREAS.IE 24/30 MTN | 3,36% | 0 | 102,28% | 3,88% | 2030-02-23 | 500 M EUR | 1.000,00 EUR | 100.000,00 EUR | Securitas Treasury Ireland DAC |
XXS267681848SEC.TREAS.IE 23/29 MTN | 3,23% | 0 | 104,23% | 4,38% | 2029-03-06 | 600 M EUR | 1.000,00 EUR | 100.000,00 EUR | Securitas Treasury Ireland DAC |
XS230392722SECURITAS AB 21/28 MTN | 3,21% | 0 | 91,53% | 0,25% | 2028-02-22 | 350 M EUR | 1.000,00 EUR | 100.000,00 EUR | Securitas AB |
XXS260738143SEC.TREAS.IE 23/27 MTN | 3,12% | 0 | 102,39% | 4,25% | 2027-04-04 | 600 M EUR | 1.000,00 EUR | 100.000,00 EUR | Securitas Treasury Ireland DAC |