ISIN
|
Descripción | Cupón | Último | Caducidad |
Rendimiento
neto anual promedio |
Rendimiento
neto al vencimiento |
||
---|---|---|---|---|---|---|---|---|
BTP TF 5,75% Feb 2033
IT0003256820
BTP TF 5,75% Feb 2033
|
5,75% | 117,60 |
01/02/2033
|
2,28% | €2.543 +17,03% | |||
BTP PIU' 2,85%/3,7% Feb 2033
IT0005634800
BTP PIU' 2,85%/3,7% Feb 2033
|
2,85%/3,7% | 100,81 |
25/02/2033
|
2,76% | €3.104 +20,8% | |||
BTP TF 4,4% May 2033
IT0005518128
BTP TF 4,4% May 2033
|
4,4% | 108,80 |
01/05/2033
|
2,49% | €2.868 +19,24% | |||
BTP TF 2,45% Sep 2033
IT0005240350
BTP TF 2,45% Sep 2033
|
2,45% | 95,10 |
01/09/2033
|
2,81% | €3.385 +22,68% | |||
BTP TF 4,35% Nov 2033
IT0005544082
BTP TF 4,35% Nov 2033
|
4,35% | 108,32 |
01/11/2033
|
2,58% | €3.173 +21,23% | |||
BTP FUTURA 0,75% Nov 2033
IT0005466351
BTP FUTURA 0,75% Nov 2033
|
0,75% | 87,65 |
16/11/2033
|
2,24% | €2.775 +18,52% |