Descrição | Emitente | YTM* | Invest. mín** | Preço | Moeda | Cupão | Maturidade | Modo envio*** | ||
---|---|---|---|---|---|---|---|---|---|---|
Siemens Financiering 2 7/8 03/10/2028 | Siemens Financieringsmaatschappij Nv | 2,06% | 1000 | Ver+ | EUR | 2,880% | 10/03/2028 | Bolsa | Negociar | |
Benfica 4.60% 01/06/2025 | Sport Lisboa e Benfica - Futebol SAD | 4,61% | 5 | Ver+ | EUR | 4,600% | 01/06/2025 | Bolsa | Negociar | |
Benfica 5.10 04/23/2027 | Sport Lisboa e Benfica - Futebol SAD | 4,58% | 5 | Ver+ | EUR | 5,100% | 23/04/2027 | Bolsa | Negociar | |
Benfica 5.75 17/05/2026 | Sport Lisboa e Benfica - Futebol SAD | 3,83% | 5 | Ver+ | EUR | 5,750% | 17/05/2026 | Bolsa | Negociar | |
Sporting Clube de Portugal 5.75 11/2027 | Sporting Clube de Portugal - Futebol SAD | 4,19% | 5 | Ver+ | EUR | 5,750% | 26/11/2027 | Bolsa | Negociar | |
Sporting Clube de Portugal 5.25 11/2028 | Sporting Clube de Portugal - Futebol SAD | 4,33% | 5 | Ver+ | EUR | 5,250% | 06/11/2028 | Bolsa | Negociar | |
Telecom Italia Capital 7.721 06/04/2038 | Telecom Italia Capital SA | 7,25% | 2000 | Ver+ | USD | 7,720% | 04/06/2038 | Bolsa | Negociar | |
Telecom Italia Fin 7.75 01/24/2033 | Telecom Italia Capital SA | 4,41% | 1000 | Ver+ | EUR | 7,750% | 24/01/2033 | Bolsa | Negociar | |
Telecom Italia Fin 6.375 11/15/2033 | Telecom Italia Capital SA | 6,31% | 1000 | Ver+ | USD | 6,380% | 15/11/2033 | Bolsa | Negociar | |
Telecom Italia Capital 7.2 07/18/2036 | Telecom Italia Capital SA | 7,07% | 2000 | Ver+ | USD | 7,200% | 18/07/2036 | Bolsa | Negociar | |
TelefonakTiebolaget LM E 5.375 5/29/2028 | Telefonaktiebolaget LM Ericsson | 2,70% | 100000 | Ver+ | EUR | 5,380% | 29/05/2028 | Offline | Negociar | |
Telefonica Emisiones SAU 2.318 10/17/28 | Telefonica Emisiones S.A.U | 2,18% | 100000 | Ver+ | EUR | 2,320% | 17/10/2028 | Bolsa | Negociar | |
Tereos Finance Group 5.875 04/30/2030 | Tereos Finance Group I SA | 5,29% | 100000 | Ver+ | EUR | 5,880% | 30/04/2030 | Offline | Negociar | |
UBS Float 11/06/25 | UBS AG London Branch | 4,02% | 1000 | Ver+ | EUR | 3,740% | 26/11/2025 | Bolsa | Negociar | |
GILT 3.5% 22GE45 | United Kingdom | 5,20% | 0,01 | Ver+ | GBP | 3,500% | 22/01/2045 | Bolsa | Negociar | |
United Kingdom Gilt 4.5 12/07/2042 | United Kingdom | 5,07% | 0,01 | Ver+ | GBP | 4,500% | 07/12/2042 | Bolsa | Negociar | |
GILT 2% 07ST25 | United Kingdom | 3,87% | 0,01 | Ver+ | GBP | 2,000% | 07/09/2025 | Bolsa | Negociar | |
GILT 4.25% 07DC27 | United Kingdom | 3,57% | 0,01 | Ver+ | GBP | 4,250% | 07/12/2027 | Bolsa | Negociar | |
GILT 4.25% 07ST39 | United Kingdom | 4,91% | 0,01 | Ver+ | GBP | 4,250% | 07/09/2039 | Bolsa | Negociar | |
USA T-BOND TF 3,125% FB42 USD | United States of America | 4,75% | 100 | Ver+ | USD | 3,130% | 15/02/2042 | Bolsa | Negociar | |
USA T-NOTE TF 2,375% MG29 USD | United States of America | 3,70% | 100 | Ver+ | USD | 2,380% | 15/05/2029 | Bolsa | Negociar | |
US Treasury N/B 4.625 09/15/2026 | United States of America | 3,84% | 100 | Ver+ | USD | 4,630% | 15/09/2026 | Offline | Negociar | |
US Treasury N/B 2.75 04/30/2027 | United States of America | 3,71% | 100 | Ver+ | USD | 2,750% | 30/04/2027 | Offline | Negociar | |
USA T-BOND TF 5,375% FB31 USD | United States of America | 3,98% | 100 | Ver+ | USD | 5,380% | 15/02/2031 | Bolsa | Negociar | |
USA T-BOND TF 3,375% NV48 USD | United States of America | 4,89% | 100 | Ver+ | USD | 3,380% | 15/11/2048 | Offline | Negociar | |
T 6 02/15/2026 | United States of America | 3,58% | 100 | Ver+ | USD | 6,000% | 15/02/2026 | Bolsa | Negociar | |
US Treasury N/B 2.875 04/30/2029 | United States of America | 3,85% | 100 | Ver+ | USD | 2,880% | 30/04/2029 | Offline | Negociar | |
US Treasury N/B 1.25 05/15/2050 | United States of America | 4,83% | 100 | Ver+ | USD | 1,250% | 15/05/2050 | Bolsa | Negociar | |
US Treasury N/B 4.375 08/31/2028 | United States of America | 3,48% | 100 | Ver+ | USD | 4,380% | 31/08/2028 | Offline | Negociar | |
USA T-BOND TF 3,625% FB44 USD | United States of America | 4,66% | 100 | Ver+ | USD | 3,630% | 15/02/2044 | Bolsa | Negociar | |
USA -T-BOND 3.625% 15AG43 | United States of America | 4,75% | 100 | Ver+ | USD | 3,630% | 15/08/2043 | Offline | Negociar | |
T 5.25 11/15/2028 | United States of America | 3,72% | 100 | Ver+ | USD | 5,250% | 15/11/2028 | Bolsa | Negociar | |
USA T-BOND TF 2,5% MG46 USD | United States of America | 4,89% | 100 | Ver+ | USD | 2,500% | 15/05/2046 | Offline | Negociar | |
USA -T-BOND 3.125% 15FB43 | United States of America | 4,80% | 100 | Ver+ | USD | 3,130% | 15/02/2043 | Offline | Negociar | |
USA -T-BOND 4.75% 15FB37 | United States of America | 4,32% | 100 | Ver+ | USD | 4,750% | 15/02/2037 | Offline | Negociar | |
USA T-BOND TF 2% FB50 USD | United States of America | 4,91% | 100 | Ver+ | USD | 2,000% | 15/02/2050 | Bolsa | Negociar | |
US Treasury Strips 0 11/15/2046 | United States of America | 4,80% | 0,01 | Ver+ | USD | 0,000% | 15/11/2046 | Offline | Negociar | |
USA T-BOND TF 3% MG47 USD | United States of America | 4,88% | 100 | Ver+ | USD | 3,000% | 15/05/2047 | Offline | Negociar | |
USA -T-BOND 5.5% 15AG28 | United States of America | 3,58% | 100 | Ver+ | USD | 5,500% | 15/08/2028 | Offline | Negociar | |
USA -T-BOND 3.125% 15AG44 | United States of America | 4,84% | 100 | Ver+ | USD | 3,130% | 15/08/2044 | Offline | Negociar | |
US Treasury N/B 5 05/15/2037 | United States of America | 4,36% | 100 | Ver+ | USD | 5,000% | 15/05/2037 | Bolsa | Negociar | |
US Treasury N/B 2.875 05/15/2032 | United States of America | 4,09% | 100 | Ver+ | USD | 2,880% | 15/05/2032 | Offline | Negociar | |
USA T-BOND TF 4,5% MG38 USD | United States of America | 4,42% | 100 | Ver+ | USD | 4,500% | 15/05/2038 | Offline | Negociar | |
US Treasury N/B 1.375 08/31/2026 | United States of America | 3,24% | 100 | Ver+ | USD | 1,380% | 31/08/2026 | Bolsa | Negociar | |
USA T-BOND TF 3,875% AG40 USD | United States of America | 4,64% | 100 | Ver+ | USD | 3,880% | 15/08/2040 | Offline | Negociar | |
Treasury Bill 0 08/07/2025 | United States of America | 4,79% | 100 | Ver+ | USD | 0,000% | 07/08/2025 | Offline | Negociar | |
USA T-BOND TF 2,25% AG49 USD | United States of America | 4,90% | 100 | Ver+ | USD | 2,250% | 15/08/2049 | Offline | Negociar | |
USA -T-BOND 4.625% 15FB40 | United States of America | 4,52% | 100 | Ver+ | USD | 4,630% | 15/02/2040 | Offline | Negociar | |
USA -T-BOND 6.125% 15AG29 | United States of America | 3,69% | 100 | Ver+ | USD | 6,130% | 15/08/2029 | Offline | Negociar | |
USA T-BOND TF 4,75% FB41 USD | United States of America | 4,67% | 100 | Ver+ | USD | 4,750% | 15/02/2041 | Bolsa | Negociar | |
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Nota: As obrigações que não apresentam YTM ou se encontram com preço 0 devem-se ao facto de não terem tido negociação em 2022.
*Valores indicativos. No caso de obrigações com cupão variável ou indexado é assumido o último valor do indexante para fixação de cupões até à maturidade e cálculo da respectiva yield to maturity.
**Investimento mínimo (em valor nominal).
***Esta coluna indica o canal de envio e local de execução da ordem por instrumento financeiro: no modo de envio Bolsa, as obrigações são negociadas em mercados regulamentados ou estruturas organizadas de negociação, nomeadamente nos mercados Euronext ou Borsa Italiana. No modo de envio OTC ou offline, o BiG atua como contraparte do cliente