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Obbligazioni KBC

Di seguito è riportato l'elenco delle obbligazioni societarie KBC GROEP. 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
BE0002223890KBC GROUP TIER 2 NOTES 2% DUE MARCH 2025
19,04%096,50%2,00%2025-03-0610 M EUR1.000,00 EUR1.000,00 EURKBC Group NV
CZ0002001712HZL HB VAR/37
6,81%0115,18%8,71%2037-12-205 B CZK10.000.000,00 CZK10.000.000,00 CZKHypotecni Banka as
BE0390118819KBCGR6.151%19MAR34
6,15%0100,00%6,15%2034-03-19500 M GBP100.000,00 GBP100.000,00 GBPKBC Group NV
BE0002879600KBCGR5.5%20SEP28
5,57%099,77%5,50%2028-09-20425 M GBP100.000,00 GBP100.000,00 GBPKBC Group NV
KBCSF5651297KBC Group NV 6.324% 21-SEP-2034
5,33%28 K106,38%6,32%2034-09-211 B USD1.000,00 USD200.000,00 USDKBC Group NV
KBCSF5912116KBC Group NV 4.932% 16-OCT-2030
5,20%624 K98,79%4,93%2030-10-161,25 B USD1.000,00 USD200.000,00 USDKBC Group NV
KBCSF5526009KBC Group NV 5.796% 19-JAN-2029
5,03%718 K102,60%5,80%2029-01-19999,8 M USD1.000,00 USD200.000,00 USDKBC Group NV
A3LDDGKBC GROUP SA/NV 2023-25.04.33 REG S FIXED/FLOATING RATE4,19%0104,23%4,88%2033-04-25500 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
A3LTBHKBC GROUP SA/NV 2024-17.04.35 REG S FIXED/FLOATING RATE4,09%0104,77%4,75%2035-04-171 B EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE295031KBC GROEP 23/26 FLR MTN
4,06%0100,61%4,50%2026-06-061,25 B EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE282001KBC GROEP 21/27 FLR MTN
3,80%093,63%1,25%2027-09-21400 M GBP100.000,00 GBP100.000,00 GBPKBC Group NV
A3LJHZKBC GROUP SA/NV 2023-06.12.31 SERIES G00036 TRANCHE 1 REG S3,36%0105,72%4,38%2031-12-06750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE0002937184KBCGR3.295%26APR31
3,30%0100,00%3,30%2031-04-261 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
A3LBMZKBC GROUP SA/NV 2022-23.11.27 REG S FIXED/FLOATING RATE3,27%0102,95%4,38%2027-11-231 B EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE264526KBC GROEP 19/25 MTN
3,23%099,20%0,63%2025-04-10500 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE279980KBC GROEP 21/31 MTN
3,20%086,92%0,75%2031-05-31700 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE293516KBC GROEP 23/30 FLR MTN
3,19%0105,42%4,38%2030-04-191 B EUR100.000,00 EUR100.000,00 EURKBC Group NV
AA3LU9MKBC IFIMA S.A. 2024-04.03.26 SERIES W00045 TRANCHE 1 REG S FLOATING RATE3,18%0100,06%3,23%2026-03-041 B EUR100.000,00 EUR100.000,00 EURKBC IFIMA SA
A3LRN6KBC GROUP SA/NV 2023-28.11.29 REG S FIXED/FLOATING RATE3,17%0104,62%4,25%2029-11-28500 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE39012487KBC GROEP 24/32 MTN
3,11%0103,79%3,75%2032-03-27750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE0002449248KBC COVERED BONDS 3,025% DUE OCTOBER 2034
3,03%0100,00%3,03%2034-10-3070 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE268162KBC GROEP 20/30 MTN
3,01%090,01%0,75%2030-01-24500 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE0002444199KBC COVERED BONDS 3% DUE OCTOBER 2033
3,00%0100,00%3,00%2033-10-1750 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
A3K8UDKBC GROUP SA/NV 2022-25.08.30 REG S2,96%0100,18%3,00%2030-08-25750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE39013497KBC BANK 24/30 MTN
2,90%0101,07%3,12%2030-06-041 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BBE0002445204KBC COVERED BONDS 2,89% DUE OCTOBER 2028
2,89%0100,00%2,89%2028-10-2150 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
SSK400002528CESK.OB.BK 24/29
2,80%0102,33%3,38%2029-07-03500 M EUR100.000,00 EUR100.000,00 EURCeskoslovenská Obchodná Banka as
XXS0210976329KBCIFIMA FRN 07/02/2025
2,70%1 K103,00%3,50%2025-02-07134,1 M USD1.000,00 USD1.000,00 USDKBC IFIMA NV
BBE296748KBC BANK 23/26 MTN
2,65%0101,86%3,75%2026-09-281 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE270788KBC BANK 20/25 MTN
2,59%097,58%0,00%2025-12-031 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE250075KBC BANK 17/27 MTN
2,52%095,29%0,75%2027-10-24500 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
AA3LH6XKBC BANK SA 2023-30.05.28 EXT TIL 30.05.29 REG S2,50%0102,37%3,25%2028-05-30750 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE258361KBC BANK 18/26 MTN
2,49%097,94%0,75%2026-03-08750 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
AA3LEHJKBC BANK SA 2023-22.02.27 REG S SECURED EXTENDIBLE UNTIL 22.02.282,47%0101,35%3,13%2027-02-221 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BBE0002882638KBCBK2.375%21SEP26
2,38%0100,00%2,38%2026-09-212,5 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE276647KBC GROEP 21/29 MTN FLR
2,23%092,12%0,13%2029-01-14750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE283920KBC GROEP 22/28 FLR MTN
2,18%095,86%0,75%2028-01-21750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
A3K3TJKBC GROUP SA/NV 2022-29.03.26 SERIES G00026 TRANCHE 1-S FIXED/FLOATING RATE1,92%099,48%1,50%2026-03-29750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE97436597KBC GROEP 20/27 FLR MTN
1,80%096,61%0,38%2027-06-16500 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE283213KBC GROEP 21/27 FLR MTN
1,65%097,02%0,25%2027-03-01750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE0002591692KBCBAN1.52%27MAR38
1,52%0100,00%1,52%2038-03-2750 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BBE0002590686KBCBAN1.52%26MAR38
1,52%0100,00%1,52%2038-03-26200 M EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BE0002291608KBCGRO1.44%4OCT27
1,45%099,97%1,44%2027-10-0425 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE281900KBC GROEP 21/31 FLR MTN
1,35%095,38%0,63%2031-12-07750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BE272809KBC GROEP 20/26 MTN FLR
1,30%098,01%0,13%2026-09-10750 M EUR100.000,00 EUR100.000,00 EURKBC Group NV
BBE0002696772KBCBK0.25%29APR27
0,25%0100,00%0,25%2027-04-291 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BBE0002690718KBCBAN0.05%24MAR25
0,05%0100,00%0,05%2025-03-242 B EUR100.000,00 EUR100.000,00 EURKBC Bank NV
BBE0002683648KBCBAN0.04%12FEB30
0,04%0100,00%0,04%2030-02-121 B EUR100.000,00 EURKBC Bank NV
BE296142KBC GROEP 23/UND. FLR
0110,17%8,00%750 M EUR200.000,00 EUR200.000,00 EURKBC Group NV
CZ0002001308HYPOTECNI BANKA AS FRN 11/2037
0116,71%2037-11-151,5 B CZK10.000.000,00 CZK10.000.000,00 CZKHypotecni Banka as
KBCSF5912115KBC Group NV 4.932% 16-OCT-2030
4,93%2030-10-161,25 B USD1.000,00 USD200.000,00 USDKBC Group NV
BE39015218KBC GROEP 24/UND. FLR
0103,15%6,25%750 M EUR200.000,00 EUR200.000,00 EURKBC Group NV
CZ0002001720HZL HB VAR/37
0116,50%2037-12-205 B CZK10.000.000,00 CZK10.000.000,00 CZKHypotecni Banka as
CZ0002001266HYPOTECNI BANKA AS FRN 10/2037
0115,33%2037-10-252 B CZK10.000.000,00 CZK10.000.000,00 CZKHypotecni Banka as
BE259270KBC GROEP 18/UND. FLR
099,50%4,25%364 M EUR200.000,00 EUR200.000,00 EURKBC Group NV
CZ0002001183HZL HB VAR/37
0116,79%2037-09-132 B CZK10.000.000,00 CZK10.000.000,00 CZKHypotecni Banka as