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Obbligazioni Bancarie

Nome
Data scadenza
Ultimo prezzo
Data/Ora
Codice isin
Cedola
Quantità acquisto
Prezzo acquisto
Quantità vendita
Prezzo vendita
Prezzo riferimento precedente
Prezzo Ufficiale precedente
Prezzo Riferimento
Rendimento effettivo
Data emissione
Fase mercato
17/05/2024103.5615/11XS16147228061.125000098.75103.5698.756.99071525/05/2017CHI
20/05/202499.64126/04XS10688714482.3750099.9810199.69899.7799.8736.463518/06/2014CHI
20/05/2024106.9219/10XS10695210832.375000098106.92984.964318/06/2014CHI
22/05/2024100.831/05XS161634182900000100.06100.8100.064.62525/09/2017CHI
24/05/202499.609/04DE000CZ40L631.125000099.89899.699.9419.105609/06/2017CHI
07/06/2024100.523/02XS162693310200000100.86100.5100.861.92135921/08/2017CHI
10/06/202499.423/02XS10752187992.25000095.3299.495.3355.333118/06/2014CHI
19/06/2024100.722/01XS10797263342.375000099.25100.799.250.62501725/06/2014CHI
20/06/2024-17/10IT00067293772.8000099.6111.3599.65.48419725/04/2014CHI
06/09/202497.6516/11XS14855973290.87500009899.909983.93442726/09/2016CHI
16/09/202497.4522/09XS155013583100000101.17597.45101.1754.24606330/01/2017CHI
07/01/202597.919/04IT00067108800297.15299.4996.9597.998.3636.75938812/01/2010CHI
13/01/20259905/02XS11672046991.25000098.2389998.2314.315715/01/2015CHI
14/01/202596.4614/12XS11662010351.25000095.5896.4695.583.70282609/02/2015CHI
27/01/202598.7512/03XS11744691371.5000099.61298.7599.6122.97471106/02/2015CHI
29/01/202599.89925/04IT000671214201099.572100.07299.94399.89999.846-05/02/2010CHI
30/01/202598.413/03XS11802565281.75000098.598.498.55.347510/06/2016CHI
03/02/2025--IT00050834533.5900--100.1100100.13.58007603/02/2015CHI
12/02/202595.8208/11XS11892634001.125000097.87595.8297.8755.23764615/09/2017CHI
17/02/202596.831/05XS11906329992.375000098.80896.898.8084.33826418/03/2015CHI
27/02/202599.520/12XS11955748812.625000098.799.598.75.7603121/08/2017CHI
10/03/2025-28/11XS11994392221.125000094.8101.9994.85.51026407/04/2015CHI
18/03/202597.602/04XS12010015722.5000098.6597.598.65.593817/04/2015CHI
26/03/202598.19717/04XS12098632541.375000096.1898.19796.183.36222902/04/2015CHI
14/05/202596.1913/12XS18200372701.375000097.596.1997.54.88242916/05/2018CHI
16/06/202596.4726/04IT00067153920295.5297.491095.9894.9196.23-21/06/2010CHI
16/06/202597.319/04IT00067154180295.33100.19697.6597.395.5-21/06/2010CHI
30/06/2025110.8629/06XS12544288963000098.68110.8698.685.296219/08/2015CHI
09/07/20259625/04NL0009487453049697.98996.819696.91-16/07/2010CHI
10/09/2025102.226/04IT0005127508030102.2102.2910102.25102.25102.244.42440814/09/2015CHI
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