Obbligazioni

La Gamma di Obbligazioni FX di Societe Generale comprende:

  • le obbligazioni a tasso fisso in valute emergenti;
  • le obbligazioni a tasso fisso in valute emergenti con protezione in euro;
  • le obbligazioni in Dollaro USA ed in Euro.

 

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Prodotto :
Bid / Ask :
Scadenza :

Aggiornato 21/09/2017 14:00:00

Obbligazioni (23 prodotti)
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Valuta di Emissione Scadenza Bid Ask ISIN
RUB 27/04/2018 99,8691 RUB (c) 101,6691 RUB (c) XS1202764335
BRL 19/11/2018 102,1179 BRL (c) 104,1179 BRL (c) XS1490842314
RUB 19/11/2018 99,6338 RUB (c) 101,6338 RUB (c) XS1490848279
MXN 04/12/2018 95,2035 MXN (c) 96,7035 MXN (c) XS1119130489
IDR 29/01/2019 101,7557 IDR (c) 103,2557 IDR (c) XS1144002463
ZAR 04/02/2019 97,4653 ZAR (c) 98,9653 ZAR (c) XS1143861208
TRY 22/03/2019 97,7119 TRY (c) 98,9119 TRY (c) XS1526236580
INR 22/03/2019 97,9866 INR (c) 99,4866 INR (c) XS1526236663
NOK 25/01/2020 99,2200 NOK (c) 100,2200 NOK (c) XS1266593851
USD 05/11/2020 98,5700 $ (c) 99,5700 $ (c) XS1265890779
USD 03/12/2020 98,4900 $ (c) 99,4900 $ (c) XS1266701090
USD 03/12/2020 98,0300 $ (c) 99,0300 $ (c) XS1266640108
USD 23/10/2023 96,2800 $ (c) 96,6800 $ (c) XS1265876430
USD 23/06/2025 96,6800 $ (c) 97,0800 $ (c) XS1212331265
USD 05/08/2025 98,0900 $ (c) 98,4900 $ (c) XS1212158965
USD 03/03/2026 101,4400 $ (c) 101,8400 $ (c) XS1265944964
USD 16/03/2026 94,7900 $ (c) 95,1900 $ (c) XS1265960739
USD 24/03/2027 96,8200 $ (c) 97,6200 $ (c) XS1555910485
USD 04/01/2028 97,7800 $ (c) 98,1800 $ (c) XS1236580517
EUR 04/01/2028 99,5600 € (c) 99,9600 € (c) XS1236574627

 

 

version : 4.37.11