ETF constituents for LU1681039647

Below, a list of constituents for LU1681039647 (AMUNDI INDEX EURO CORPORATE SRI - UCITS ETF 2 DR - EUR (C)) is shown. In total, LU1681039647 consists of 2216 securities.

Note: The data shown here is as of date 09.11.2021 (the latest that can be sourced directly from the fund provider).

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ISIN-Code Name Anlageklasse Währung Gewichtung in %
- CASH - - 0.49%
FR0000471930 ORANGE SA 8.125 03-33 28/01A Anleihen EUR 0.23%
XS1402921412 JPMORGAN CHASE & C 1.50 16-26 29/10A Anleihen EUR 0.23%
XS1991265478 BANK OF AMERICA CORP FL.R 19-26 09/05A Anleihen EUR 0.22%
DE000CZ40LR5 COMMERZBANK AG 0.50 16-23 13/09A Anleihen EUR 0.19%
XS1989375503 MORGAN STANLEY FL.R 19-24 26/07A Anleihen EUR 0.18%
XS1377681272 BRITISH TELECOM 1.125 16-23 10/03A Anleihen EUR 0.18%
XS1856833543 BFCM 0.50 18-22 16/11A Anleihen EUR 0.18%
XS1382792197 DEUTSCHE TEL.INTL FIN 0.625 16-23 03/04A Anleihen EUR 0.18%
XS1457608013 CITIGROUP 0.75 16-23 26/10A Anleihen EUR 0.17%
XS1602547264 BANK OF AMERICA CORP FL.R 17-27 04/05A Anleihen EUR 0.17%
XS1960248919 JPMORGAN CHASE & CO FL.R 19-27 11/03A Anleihen EUR 0.17%
XS1372839214 VODAFONE GROUP 2.20 16-26 25/08A Anleihen EUR 0.17%
XS1874127902 SIEMENS FIN NV 1.3750 18-30 06/09A Anleihen EUR 0.17%
XS0997775837 BFCM EMTN 3.00 13-23 28/11A Anleihen EUR 0.17%
DE000A2R9ZT1 DAIMLER INTL FI 0.2500 19-23 06/11A Anleihen EUR 0.17%
XS1614198262 GOLDMAN SACHS GROUP 1.375 17-24 15/05A Anleihen EUR 0.17%
XS1918000107 LONDON STOCK EX 1.7500 18-27 06/12A Anleihen EUR 0.16%
XS2149270477 UBS AG LONDON BRANCH 0.75 20-23 21/04A Anleihen EUR 0.16%
XS2150054026 BARCLAYS PLC FL.R 20-25 02/04A Anleihen EUR 0.16%
XS2024715794 DEUTSCHE TELEKOM AG 0.50 19-27 05/07A Anleihen EUR 0.15%
XS2338643740 MORGAN STANLEY 0.406 21-27 30/04A Anleihen EUR 0.15%
XS1557095616 DEUTSCHE TELEKOM AG 1.375 17-27 30/01A Anleihen EUR 0.15%
XS0452314536 ASSICURAZ GENERALI 5.125 09-24 16/09A Anleihen EUR 0.15%
XS0525602339 RABOBANK REGS 2256A 4.125 10-25 14/07A Anleihen EUR 0.15%
XS2273810510 AROUNDTOWN SA 0 20-26 16/12A Anleihen EUR 0.15%
XS1382368113 NATWEST GRP 2.50 16-23 22/03A Anleihen EUR 0.15%
XS2148370211 BANK OF AMERICA CORP FL.R 20-29 31/03A Anleihen EUR 0.15%
XS1180130939 RABOBANK 1.375 15-27 03/02A Anleihen EUR 0.15%
FR0013231099 ASFFP 1.25 17-27 18/01A Anleihen EUR 0.14%
DE000A289XJ2 DAIMLER AG 2 20-26 22/05A Anleihen EUR 0.14%
FR0013396447 BPCE 1.0 19-24 15/01A Anleihen EUR 0.14%
XS2168647357 BANCO SANTANDER SA 1.375 20-26 05/05A Anleihen EUR 0.14%
XS1859010685 CITIGROUP FL.R 18-26 24/07A Anleihen EUR 0.14%
XS0895249620 BNP PARIBAS 2.875 13-23 26/09A Anleihen EUR 0.14%
XS1362373224 GOLDMAN SACHS GROUP 3.00 16-31 12/02A Anleihen EUR 0.14%
FR0014000UC8 UNIBAIL-RODAMCO-WEST 0.625 20-27 04/12A Anleihen EUR 0.14%
XS0300113254 PROCTER & GAMBLE CO 4.875 07-27 11/05A Anleihen EUR 0.14%
XS1946004451 TELEFONICA EMISIONES 1.069 19-24 05/02A Anleihen EUR 0.14%
XS2251736646 HSBC HOLDINGS PLC 0.309 20-26 13/11A Anleihen EUR 0.14%
DE000DL19VU0 DEUTSCHE BANK AG 1.375 21-32 17/02A Anleihen EUR 0.13%
FR0013324340 SANOFI 1.00 18-26 21/03A Anleihen EUR 0.13%
XS2050404636 DH EUROPE FIN 0.20 19-26 18/03A Anleihen EUR 0.13%
XS1617831026 BANQUE FED CRED 1.25 17-27 26/05A Anleihen EUR 0.13%
XS1384064587 BANCO SANTANDER SA 3.25 16-26 04/04A Anleihen EUR 0.13%
FR0012146801 SANOFI SA 1.75 14-26 10/09A Anleihen EUR 0.13%
XS1843449122 TAKEDA PHARMACEUTICAL 2.25 18-26 21/11A Anleihen EUR 0.13%
XS1574672397 COCA-COLA CO 0.5 17-24 08/03A Anleihen EUR 0.13%
XS1605365193 CREDIT AGRICOLE LDN 1.375 17-27 03/05A Anleihen EUR 0.13%
XS1882544973 ING GROUP NV 2.0 18-28 20/09A Anleihen EUR 0.13%
XS2190134184 UNICREDIT SPA FL.R 20-26 16/06A Anleihen EUR 0.13%
XS1135337498 APPLE INC 1.625 14-26 10/11A Anleihen EUR 0.13%
DE000DL19U23 DEUTSCHE BANK AG 1.625 20-27 20/01A Anleihen EUR 0.13%
XS2338955805 TOYOTA MOTOR CREDIT 0.125 21-27 06/05A Anleihen EUR 0.13%
XS1708335978 VERIZON COMMUNICATION 2.875 17-38 15/01A Anleihen EUR 0.13%
DE000A2RYD83 DAIMLER INTL FI 0.625 19-23 27/02A Anleihen EUR 0.12%
XS2148623106 LLOYDS BANKING GROUP FL.R 20-26 01/04A Anleihen EUR 0.12%
FR0013444304 HSBC CONTINENTAL EUR 0.1000 19-27 03/09A Anleihen EUR 0.12%
XS2102357014 BMW FINANCE NV 0.375 20-27 14/07A Anleihen EUR 0.12%
FR0014001JT3 BNP PARIBAS SA FL.R 21-30 19/01A Anleihen EUR 0.12%
XS1843448314 MUNICH RE FL.R 18-49 26/05A Anleihen EUR 0.12%
XS1754213947 UNICREDIT SPA 1.00 18-23 18/01A Anleihen EUR 0.12%
XS2304664167 INTESA SANPAOLO 0.6250 21-26 24/02A Anleihen EUR 0.12%
XS2100690036 SANTANDER CONSUMER F 0.375 20-25 17/01A Anleihen EUR 0.12%
XS1706111793 MORGAN STANLEY FL.R 17-26 23/10A Anleihen EUR 0.12%
XS1615079974 JPMORGAN CHASE & CO FL.R 17-28 18/05A Anleihen EUR 0.12%
CH0343366842 CREDIT SUISSE FL.R 17-25 17/07A Anleihen EUR 0.12%
XS2163320679 SODEXO 0.75 20-25 27/04A Anleihen EUR 0.12%
XS1619312686 APPLE INC 1.375 17-29 24/05A Anleihen EUR 0.12%
XS1456422135 JPMORGAN CHASE & CO 0.625 16-24 25/01A Anleihen EUR 0.12%
XS1197833137 COCA COLA 1.625 15-35 09/09A Anleihen EUR 0.12%
XS1218821756 ABN AMRO BANK REGS 1.00 15-25 16/04A Anleihen EUR 0.12%
FR0013463650 ESSILORLUXOTTIC SA 0.125 19-25 27/05A Anleihen EUR 0.12%
XS1204154410 CREDIT AGRICOLE 2.625 15-27 17/03A Anleihen EUR 0.12%
XS1748456974 BNP PARIBAS SA 1.125 18-26 11/06A Anleihen EUR 0.12%
XS2107332640 GOLDMAN SACHS GROUP 0.875 20-30 21/01A Anleihen EUR 0.12%
FR0013396512 ORANGE SA 1.1250 19-24 15/07A Anleihen EUR 0.12%
XS2079723552 DNB BANK ASA 0.05 19-23 14/11A Anleihen EUR 0.12%
DE000A185QA5 EVONIK FINANCE BV 0.375 16-24 07/09A Anleihen EUR 0.12%
DE000A289XG8 DAIMLER AG 2.375 20-30 22/05A Anleihen EUR 0.11%
XS2075811948 JPMORGAN CHASE & CO FL.R 19-32 04/11A Anleihen EUR 0.11%
FR0013463668 ESSILORLUXOTTICA 0.375 19-27 27/11A Anleihen EUR 0.11%
XS1843449395 TAKEDA PHARMACEUTICAL 3.00 18-30 21/11A Anleihen EUR 0.11%
XS2177441990 TELEFONICA EMISIONES 1.201 20-27 21/05A Anleihen EUR 0.11%
XS1590787799 TELIA COMPANY AB FL.R 17-78 04/04A Anleihen EUR 0.11%
FR0013324332 SANOFI SA 0.5 18-23 21/03A Anleihen EUR 0.11%
XS2115091717 INTERNATIONAL BUSINE 0.3 20-28 11/02A Anleihen EUR 0.11%
DE000DL19VR6 DEUTSCHE BANK AG 1 20-25 19/11A Anleihen EUR 0.11%
XS1944456018 IBM CORP 0.375 19-23 31/01A Anleihen EUR 0.11%
XS1401331753 CARREFOUR SA 0.75 16-24 26/04A Anleihen EUR 0.11%
XS1419646317 BNP PARIBAS 1.50 16-28 25/05A Anleihen EUR 0.11%
XS1654192274 UNILEVER 1.375 17-29 31/07A Anleihen EUR 0.11%
XS1747444245 BMW FINANCE NV 0.375 18-23 10/07A Anleihen EUR 0.11%
XS1382784509 COOP RABOBANK 1.25 16-26 23/03A Anleihen EUR 0.11%
XS2050406094 DH EUROPE FIN 0.75 19-31 18/09A Anleihen EUR 0.11%
DE000CZ40NS9 COMMERZBANK AG 1.00 19-26 25/02A Anleihen EUR 0.11%
FR0013510179 AUCHAN HOLDING SA 2.875 20-26 29/04A Anleihen EUR 0.11%
DE000A289RN6 DAIMLER AG 2.625 20-25 07/04A Anleihen EUR 0.11%
XS1679158094 CAIXABANK SA 1.125 17-23 12/01A Anleihen EUR 0.11%
XS1001749289 MICROSOFT CORP 3.125 13-28 06/12A Anleihen EUR 0.11%
XS2366415110 THERMO FISHER SCIENTI 1.125 21-33 18/10A Anleihen EUR 0.11%
XS1428769738 CREDIT SUISSE LONDON 1.00 16-23 07/06A Anleihen EUR 0.11%
XS1538284230 CREDIT AGRICOLE LDN 1.875 16-26 20/12A Anleihen EUR 0.11%
FR0013396520 ORANGE SA 2.0000 19-29 15/01A Anleihen EUR 0.11%
XS1463101680 VODAFONE GROUP PLC 1.60 16-31 29/07A Anleihen EUR 0.11%
XS1485597329 HSBC HOLDINGS PLC 0.875 16-24 06/09A Anleihen EUR 0.11%
XS1554373248 FRESENIUS FIN IRL 1.50 17-24 30/01A Anleihen EUR 0.11%
XS2306601746 EASYJET FINCO B.V. 1.875 21-28 03/03A Anleihen EUR 0.10%
XS1614722806 CAIXABANK SA 1.125 17-24 17/05A Anleihen EUR 0.10%
XS1678970291 BARCLAYS PLC FL.R 17-28 07/02A Anleihen EUR 0.10%
XS2170362912 NESTLE FINANCE INTER 0.375 20-32 12/05A Anleihen EUR 0.10%
DE000DL19T26 DEUTSCHE BANK 1.750 18-28 17/01A Anleihen EUR 0.10%
FR0013516077 ESSILORLUXOTTICA 0.375 19-27 27/11A Anleihen EUR 0.10%
XS1652866002 TERNA SPA 1.375 17-27 26/07A Anleihen EUR 0.10%
XS2235996217 NOVARTIS FINANCE SA 0 20-28 23/09A Anleihen EUR 0.10%
FR0013509726 BPCE S.A. 0.625 20-25 28/04A Anleihen EUR 0.10%
XS1843436574 FIDELITY NATIONAL INF 0.75 19-23 21/05A Anleihen EUR 0.10%
XS2055758804 CAIXABANK SA 0.625 19-24 01/10A Anleihen EUR 0.10%
XS1856791873 ABN AMRO BANK 0.50 18-23 17/07A Anleihen EUR 0.10%
XS1810806635 UBS AG LONDON 0.625 18-23 23/04A Anleihen EUR 0.10%
XS1242413679 AVIVA PLC 3.375 15-45 04/12A Anleihen EUR 0.10%
XS1637333748 BRITISH TELECOM 1.50 17-27 23/06A Anleihen EUR 0.10%
XS0986194883 INTESA SANPAOLO 4.00 13-23 30/11A Anleihen EUR 0.10%
FR0013486701 SOCIETE GENERALE SA 0.125 20-26 24/02A Anleihen EUR 0.10%
XS2053346297 ALSTRIA OFFICE REIT 0.50 19-25 26/09A Anleihen EUR 0.10%
XS1980064833 CITIGROUP INC 1.25 19-29 10/04A Anleihen EUR 0.10%
XS1142279782 THERMO FISHER SCIEN 2.00 14-25 15/04A Anleihen EUR 0.10%
XS1428773763 ASSICURAZ GENERALI FL.R 16-48 08/06A Anleihen EUR 0.10%
XS2373642102 BARCLAYS PLC 0.577 21-29 09/08A Anleihen EUR 0.10%
XS1135334800 APPLE INC 1.00 14-22 10/11A Anleihen EUR 0.10%
XS1458405898 BANK OF AMERICA CORP 0.75 16-23 26/07A Anleihen EUR 0.10%
XS1788515606 NATWEST GROUP PLC FL.R 18-26 02/03A Anleihen EUR 0.10%
XS1174469137 JPMORGAN CHASE & CO 1.50 15-25 27/01A Anleihen EUR 0.10%
FR0014003MI6 UNIBAIL-RODAMCO-WEST 1.375 21-33 25/05A Anleihen EUR 0.10%
XS1505573482 SNAM SPA 0.875 16-26 25/10A Anleihen EUR 0.10%
XS2023644540 MERCK FINANCIAL 19-31 05/07A Anleihen EUR 0.10%
XS1205616698 APT PIPELINES 2.00 15-27 22/03A Anleihen EUR 0.10%
XS2014287937 BANCO SANTANDER SA 0.25 19-24 19/06A Anleihen EUR 0.10%
FR0013398070 BNP PARIBAS FL.R 19-27 23/01A Anleihen EUR 0.10%
XS1785340172 INTESA SANPAOLO SPA 1.75 18-28 20/03A Anleihen EUR 0.10%
XS2356049069 SKANDINAVISKA ENSKIL 0.375 21-28 21/06A Anleihen EUR 0.10%
DE000A2TSTF5 SAP SE 1.25 18-28 10/03A Anleihen EUR 0.10%
XS2150053721 COMPAGNIE DE SAINT-G 1.75 20-23 03/04A Anleihen EUR 0.10%
XS1509006380 GOLDMAN SACHS GROUP 1.25 16-25 01/05A Anleihen EUR 0.10%
XS1054522922 NN GROUP NV FL.R 14-44 08/04A Anleihen EUR 0.10%
XS2250008245 MORGAN STANLEY FL.R 20-29 26/10A Anleihen EUR 0.10%
CH0537261858 CREDIT SUISSE GROUP FL.R 20-26 02/04A Anleihen EUR 0.10%
XS2197342129 OP CORPORATE BANK PL 0.125 20-24 01/07A Anleihen EUR 0.10%
DE000A289DC9 BASF SE 0.25 20-27 05/06A Anleihen EUR 0.10%
FR0013536661 SOCIETE GENERALE SA 0.875 20-28 22/09A Anleihen EUR 0.10%
XS1828032786 DEUT TELEKOM INT FIN 1.375 18-25 01/12A Anleihen EUR 0.09%
XS1716820029 BARCLAYS PLC 0.625 17-23 14/11A Anleihen EUR 0.09%
XS1749378342 LLOYDS BANKING GROUP 0.625 18-24 15/01 Anleihen EUR 0.09%
XS1492825051 NOVARTIS FINANCE S 0.125 16-23 20/09A Anleihen EUR 0.09%
XS2337061753 CCEP FINANCE (IRELAN 0.875 21-33 06/05A Anleihen EUR 0.09%
XS1603892149 MORGAN STANLEY 1.875 17-27 27/04A Anleihen EUR 0.09%
XS2251736992 HSBC HOLDINGS PLC FL.R 20-31 13/11A Anleihen EUR 0.09%
DE000A289DB1 BASF SE 0.101 20-23 05/06A Anleihen EUR 0.09%
XS2403444677 NORDEA BANK ABP 0.50 21-28 02/11A Anleihen EUR 0.09%
XS1028599287 ORANGE FL.R 14-XX 07/02A Anleihen EUR 0.09%
XS2338355105 GOLDMAN SACHS GROUP FL.R 21-24 30/04A Anleihen EUR 0.09%
FR0013403441 SOCIETE GENERALE 1.25 19-24 15/02A Anleihen EUR 0.09%
DE000A3E5MJ2 VONOVIA SE 1 21-33 16/06A Anleihen EUR 0.09%
XS2337252931 FEDEX CORP 0.45 21-29 04/05A Anleihen EUR 0.09%
XS1396285279 EUROGRID GMBH 1.50 16-28 18/04A Anleihen EUR 0.09%
XS1966038249 TELSTRA CORPORATION 1.375 19-29 26/03A Anleihen EUR 0.09%
FR0014001I50 VEOLIA ENVIRONNEMENT 0 21-27 14/01A Anleihen EUR 0.09%
XS1788951090 SKANDINAVISKA ENSKIL 0.50 18-23 13/03A Anleihen EUR 0.09%
DE000A13R7Z7 ALLIANZ SE FL.R 14-24 19/08A Anleihen EUR 0.09%
DE000A2R9ZU9 DAIMLER INTL FI 0.625 19-27 06/05A Anleihen EUR 0.09%
FR0013412947 BFCM 0.75 19-26 08/06A Anleihen EUR 0.09%
XS1691909920 MIZUHO FINANCIAL GRP 0.956 17-24 16/10A Anleihen EUR 0.09%
XS1138360166 WALGREENS BOOTS 2.125 14-26 20/11A Anleihen EUR 0.09%
DE000DL19VS4 DEUTSCHE BANK AG 1.75 20-30 19/11A Anleihen EUR 0.09%
XS2171874519 NORDEA BANK ABP 0.5 20-27 14/05A Anleihen EUR 0.09%
XS2159791990 AMERICAN HONDA FINAN 1.95 20-24 20/04A Anleihen EUR 0.09%
FR0013173432 SUEZ 1.25 16-28 19/05A Anleihen EUR 0.09%
XS2182054887 SIEMENS FINANCIERING 0.375 20-26 05/06A Anleihen EUR 0.09%
XS2178769159 FRESENIUS MEDICAL CA 1.5 20-30 29/05A Anleihen EUR 0.09%
XS2151069775 LLOYDS BANKING GROUP 2.375 20-26 09/04A Anleihen EUR 0.09%
XS2381671671 CREDIT SUISSE A 0.2500 21-28 01/09A Anleihen EUR 0.09%
XS1321424670 SKY REGS 2.25 15-25 17/11A Anleihen EUR 0.09%
XS2281155254 ING GROUP NV 0.25 21-30 11/01A Anleihen EUR 0.09%
FR0014000OZ2 SOCIETE GENERALE SA FL.R 20-30 24/11A Anleihen EUR 0.09%
XS2344772426 HAMMERSON IRELAND FI 1.75 21-27 03/06A Anleihen EUR 0.09%
XS1412266907 JOHNSON A JOHNSON 1.65 16-35 20/05A Anleihen EUR 0.09%
XS0933540527 RABOBANK 2.375 13-23 22/05A Anleihen EUR 0.09%
XS1177459531 ENAGAS FIN REGS 1.25 15-25 06/02A Anleihen EUR 0.09%
XS2063247915 BANCO SANTANDER SA 0.30 19-26 04/10A Anleihen EUR 0.09%
DE000A3H2457 DEUTSCHE BOERSE AG 0.0 21-26 22/02A Anleihen EUR 0.09%
XS1374865555 UNICREDIT SPA 2.00 16-23 04/03A Anleihen EUR 0.09%
FR0014002C30 SUEZ SA 0 21-26 09/03A Anleihen EUR 0.09%
XS2168285000 COOPERATIEVE RABOBAN FL.R 20-28 05/05A Anleihen EUR 0.09%
DE000A1YCQ29 ALLIANZ SE FL.R 13-XX 24/10A Anleihen EUR 0.09%
FR0013534484 ORANGE SA 0.125 20-29 16/09A Anleihen EUR 0.09%
XS1935139995 ABN AMRO BANK 0.875 19-24 15/01A Anleihen EUR 0.09%
XS2149207354 GOLDMAN SACHS GROUP 3.375 20-25 27/03U Anleihen EUR 0.09%
AT0000A2RZL4 ERSTE STEIERMARKISC FL.R 21-28 06/07A Anleihen EUR 0.09%
XS1789759195 RICHEMONT INTERNATION 2.0 18-38 26/03A Anleihen EUR 0.09%
DK0009526998 NYKREDIT REALKREDIT 0.75 20-27 20/01A Anleihen EUR 0.09%
XS2292263121 MORGAN STANLEY 0.497 21-31 08/02A Anleihen EUR 0.09%
FR0014000UL9 BNP PARIBAS SA 0.625 20-32 03/12A Anleihen EUR 0.09%
FR0013429073 BPCE 0.625 19-24 26/09A Anleihen EUR 0.09%
FR0013507654 BOUYGUES 1.125 20-28 14/04A Anleihen EUR 0.09%
XS2346225878 METROPOLITAN LIFE GL 0.5 21-29 27/05A Anleihen EUR 0.09%
DE000CZ40N04 COMMERZBANK AG 0.625 19-24 28/08A Anleihen EUR 0.09%
XS1254428896 HSBC HOLDINGS PLC 3.00 15-25 30/06A Anleihen EUR 0.09%
XS1379171140 MORGAN STANLEY 1.75 16-24 11/03A Anleihen EUR 0.09%
FR0013324357 SANOFI 1.375 18-30 21/03A Anleihen EUR 0.09%
XS1030900242 VERIZON COMM 3.25 14-26 17/02A Anleihen EUR 0.09%
FR0014003MJ4 UNIBAIL-RODAMCO-WEST 0.75 21-28 25/05A Anleihen EUR 0.09%
XS1799611642 AXA SA FL.R 18-49 28/05A Anleihen EUR 0.09%
XS2121207828 SVENSKA HANDELSBANKE 0.5 20-30 18/02A Anleihen EUR 0.09%
XS2115092954 WHIRLPOOL EMEA FINAN 0.5 20-28 21/02A Anleihen EUR 0.09%
XS0878743623 AXA SA 5.125 13-43 04/07A Anleihen EUR 0.09%
XS2406549464 DANSKE BANK AS FL.R 21-24 10/11A Anleihen EUR 0.09%
XS2321427408 BANK OF AMERICA CORP FL.R 21-31 22/03A Anleihen EUR 0.09%
XS1265805090 GOLDMAN SACHS GROUP 2.00 15-23 27/07A Anleihen EUR 0.09%
XS1346228577 AXA SA FL.R 16-47 06/07A Anleihen EUR 0.09%
XS1527526799 ADECCO INTERNATIONAL 16-24 02/12A Anleihen EUR 0.09%
XS2265371042 MACQUARIE GROUP LTD 0.35 20-28 03/12A Anleihen EUR 0.09%
XS2388876232 MBANK SA FL.R 21-27 21/09A Anleihen EUR 0.09%
XS2390506546 ING GROEP NV FL.R 21-28 29/09A Anleihen EUR 0.09%
XS1548387593 BASF 1.45 17-32 13/12A Anleihen EUR 0.09%
FR0013428943 LEGRAND SA 0.6250 19-28 24/06A Anleihen EUR 0.09%
FR0013412343 BPCE 1.0 19-25 01/04A Anleihen EUR 0.09%
CH0576402181 UBS GROUP SA 0.25 20-28 05/11A Anleihen EUR 0.08%
FR0013508512 CREDIT AGRICOLE FL.R 20-26 22/04A Anleihen EUR 0.08%
FR0013495181 DANONE SA 0.571 20-27 17/03A Anleihen EUR 0.08%
XS2179037697 INTESA SANPAOLO 2.1250 20-25 26/05A Anleihen EUR 0.08%
XS1547407830 BNP PARIBAS 1.125 17-23 10/10A Anleihen EUR 0.08%
FR0013216918 DANONE SA 0.709 16-24 03/11 Anleihen EUR 0.08%
XS1146286205 VERIZON COMMUNICATION 2.625 14-31 01/12A Anleihen EUR 0.08%
DE000A169G15 DAIMLER AG 1.40 16-24 12/01A Anleihen EUR 0.08%
BE0002266352 KBC GROUPE SA 0.75 16-23 18/10A Anleihen EUR 0.08%
FR0013479276 SOCIETE GENERALE SA 0.75 20-27 23/01A Anleihen EUR 0.08%
FR0013510823 HOLDING D'INFRASTRUC 2.5 20-27 04/05A Anleihen EUR 0.08%
XS1823502577 BASF 1.5 18-30 22/05A Anleihen EUR 0.08%
FR0013367406 BPCE 0.6250 18-23 26/09A Anleihen EUR 0.08%
FR0013517026 DANONE SA 0.395 20-29 10/06A Anleihen EUR 0.08%
FR0013506292 ORANGE SA 1.25 20-27 07/04A Anleihen EUR 0.08%
XS1550951211 TELEFONICA EMIS 1.528 17-25 17/01A Anleihen EUR 0.08%
CH0409606354 UBS GROUP FL.R 18-25 17/04A Anleihen EUR 0.08%
XS2385121582 EAST JAPAN RAIL 0.7730 21-34 15/09A Anleihen EUR 0.08%
XS2102916793 MERCK FIN SERVI 0.1250 20-25 16/07A Anleihen EUR 0.08%
FR0013523602 CREDIT AGRICOLE 2.00 20-30 17/07A Anleihen EUR 0.08%
DE000DL19US6 DEUTSCHE BANK AG 2.625 19-26 12/02A Anleihen EUR 0.08%
XS2345877497 KOJAMO PLC 0.875 21-29 28/05A Anleihen EUR 0.08%
XS1346254573 ABN AMRO BANK 2.875 16-28 18/01A Anleihen EUR 0.08%
XS2112475921 PROLOGIS EURO FINANCE 1.0 20-35 06/02A Anleihen EUR 0.08%
XS1979280853 VERIZON COMMUNICATION 0.875 19-27 08/04A Anleihen EUR 0.08%
FR0013444536 DASSAULT SYSTEM 0.00 19-24 16/09A Anleihen EUR 0.08%
XS1789752182 RICHEMONT INTL 1.5 18-30 26/03A Anleihen EUR 0.08%
XS2085547433 FIDELITY NATIONAL INF 0.125 19-22 03/12A Anleihen EUR 0.08%
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