IBERDROLA SA EUR0.75IBERDROLA SA EUR0.75IBERDROLA SA EUR0.75

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Obbligazioni 0HIT

Di seguito è riportato l'elenco delle obbligazioni societarie IBERDROLA SA EUR0.75. Gli investitori spesso optano per le obbligazioni di una società per la loro maggiore stabilità in tempi di volatilità del mercato. Studia i prezzi, i rendimenti e altre statistiche per trovare un investimento affidabile.
Simbolo
YTM %
Volume
Prezzo %
Cedola %
Data di maturazione
Importo in eccesso
Valore nominale
Importo min. denominazione
Emittente
UUS81013TAC5IBERDROLA INTL 05/25
5,66%0100,15%5,81%2025-03-15350 M USD1.000,00 USD1.000,00 USDIberdrola International BV
BBS80SCOTTISH POWER UK PLC 6.375%-VAR SNR NTS 31/05/415,57%300 K109,14%6,38%2041-05-31100 M GBP100.000,00 GBP100.000,00 GBPScottish Power UK Plc
XXS293011826IBERDR.FINA. 24/36 MTN
5,46%098,07%5,25%2036-10-31500 M GBP100.000,00 GBP100.000,00 GBPIberdrola Finanzas SAU
IIBDSF3668585Iberdrola International BV 6.75% 15-JUL-2036
5,38%387 K112,15%6,75%2036-07-15500 M USD1.000,00 USD1.000,00 USDIberdrola International BV
BBD12ELECTR NORTH WEST 8.875% SNR BDS 25/03/20265,02%0105,05%8,88%2026-03-25450 M GBP1.000,00 GBP1.000,00 GBPUnited Utilities Electricity Ltd.
114MESP MANWEB PLC 4.875% SNR BDS 20/09/20275,02%3,24 K99,61%4,88%2027-09-20350 M GBP1.000,00 GBP100.000,00 GBPSP Manweb Plc
XXS2915439959IberdFin 4.592% 36
4,59%0100,00%4,59%2036-10-101,5 B NOK2.000.000,00 NOK2.000.000,00 NOKIberdrola Finanzas SAU
XXS1924319301IberdrolaFinanz 3,724% 08/12/2025
3,72%0100,00%3,72%2025-12-0850 M USD250.000,00 USD250.000,00 USDIberdrola Finanzas SAU
XXS2439701488IberdFin 1% 37
3,56%074,32%1,00%2037-02-02100 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS290982227IBERDR.FINA. 24/35 MTN
3,44%099,39%3,38%2035-09-30750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS286100023IBERDR.FINA. 24/34 MTN
3,33%0102,49%3,63%2034-07-18750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS264849837IBERDR.FINA. 23/33 MTN
3,31%0102,36%3,63%2033-07-13850 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS255896695IBERDR.FINA. 22/32 MTN
3,23%0101,05%3,38%2032-11-22750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS290982219IBERDR.FINA. 24/31 MTN
3,16%099,01%3,00%2031-09-30750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS245598386IBERDR.FINA. 22/32 MTN
3,11%088,61%1,38%2032-03-111 B EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS1815308470IberdrolaFinanz 3,01% 03/05/2028
3,01%0100,00%3,01%2028-05-03800 M NOK1.000.000,00 NOK1.000.000,00 NOKIberdrola Finanzas SAU
XXS2840108687IberdFin 3.35% 31
2,95%0102,42%3,35%2031-06-1770 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS290982189IBERDR.FINA. 24/28 MTN
2,82%099,36%2,63%2028-03-30650 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS255891669IBERDR.FINA. 22/28 MTN
2,79%0101,26%3,13%2028-11-22750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS1615677108IberdrolaFinanz 2,7% 18/05/2027
2,70%0100,00%2,70%2027-05-181 B NOK1.000.000,00 NOK1.000.000,00 NOKIberdrola Finanzas SAU
XXS184769263IBERDROLA FIN. 18/26 MTN
2,58%097,46%1,25%2026-10-28750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS139847679IBERDROLA INTL 16/26 MTN
2,57%097,98%1,13%2026-04-211 B EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS1726152108IberdrolaFinanz 1,621% 29/11/2029
2,56%095,55%1,62%2029-11-29735 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS168253818IBERDROLA FIN. 17/27 MTN
2,51%096,57%1,25%2027-09-13750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS149072659IBERDROLA INTL 16/25 MTN
2,35%098,05%0,38%2025-09-15700 M EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS2153405118IberdrolaFinanz 0,875% 16/06/2025
2,04%098,85%0,88%2025-06-16750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS1610777556IberdrolaFinanz 1,782% 30/10/2030
1,78%0100,00%1,78%2030-10-30110 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
995HTSP TRANSMISSION PLC 2% SNR NTS 13/11/20311,68%8102,10%2,00%2031-11-13345,5 M GBP1.000,00 GBP100.000,00 GBPSP Transmission Plc
XXS1568849282IberdrolaFinanz 1,667% 20/02/2029
1,67%0100,00%1,67%2029-02-20100 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
IIBRAIBERDROLA FIN. 17/25 MTN
1,64%099,37%1,00%2025-03-071 B EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS1837198156IberdrolaFinanz 1,128% 13/06/2025
1,26%099,87%1,13%2025-06-1330 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS255756583IBERDR.FINA. 22/27 CV MTN
−2,20%0109,51%0,80%2027-12-07450 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
110OHSPD FINANCE UK PLC 5.875% GTD SNR BDS 17/07/2026−9,75%1 M128,38%5,88%2026-07-17350 M GBP1.000,00 GBP100.000,00 GBPSPD Finance UK Plc
BBD49ELECTR NORTH WEST 8.875% SNR BDS 25/03/2026−21,64%16 K148,50%8,88%2026-03-25450 M GBP1,00 GBP1,00 GBPUnited Utilities Electricity Ltd.
885VCELECTR NORTH WEST IDX/LKD SNR EMTN 06/04/20461,48%2046-04-06100 M GBP50.000,00 GBP50.000,00 GBPUnited Utilities Electricity Ltd.
XXS229533541IBERDROLA IN 21/UND. FLR
095,66%1,45%1 B EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS258022165IBERDR.FINA. 23/UND. FLR
0102,91%4,88%1 B EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
XXS224494106IBERDROLA IN 20/UND. FLR
097,70%1,87%1,6 B EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS2295333988IberInt 1.825% pp
090,18%1,83%1 B EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS240585537IBERDR.FINA. 21/UND. FLR
093,98%1,58%750 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
339OQSCOTTISH POWER UK PLC 5.75% SNR NTS 09/12/395,75%2039-12-0925 M GBP100.000,00 GBP100.000,00 GBPScottish Power UK Plc
XXS2748213290IberdFin 4.871% pp
0103,90%4,87%700 M EUR100.000,00 EUR100.000,00 EURIberdrola Finanzas SAU
442OCSCOTTISH POWER UK PLC 4.6% SNR MTN 27/07/204,60%2029-07-2710 B JPY100.000.000,00 JPY100.000.000,00 JPYScottish Power Ltd.
XXS189084587IBERDROLA IN 19/UND.FLR
099,92%3,25%800 M EUR100.000,00 EUR100.000,00 EURIberdrola International BV
XXS224494114IBERDROLA IN 20/UND. FLR
093,32%2,25%1,4 B EUR100.000,00 EUR100.000,00 EURIberdrola International BV