ETF constituents for LU1737653714

Below, a list of constituents for LU1737653714 (AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - UCITS ETF DR (D)) is shown. In total, LU1737653714 consists of 374 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 %
FR0011461037 FRANCE 3.25 12-45 25/05A Anleihen EUR 1.71%
FR0010070060 FRANCE 4.75 04-35 25/04A Anleihen EUR 1.51%
FR0011883966 FRANCE 2.50 13-30 25/05A Anleihen EUR 1.47%
IT0004923998 ITALY 4.75 13-44 01/09S Anleihen EUR 1.29%
FR0000571150 FRANCE 6.00 94-25 25/10A Anleihen EUR 1.28%
FR0013250560 FRANCE 1.00 16-27 25/05A Anleihen EUR 1.22%
FR0011317783 FRANCE 2.75 12-27 25/10A Anleihen EUR 1.16%
FR0012517027 FRANCE 0.50 15-25 25/05A Anleihen EUR 1.06%
ES0000012411 SPAIN 5.75 01-32 30/07A Anleihen EUR 1.02%
FR0000187635 FRANCE 5.75 00-32 25/10A Anleihen EUR 1.00%
FR0010466938 FRANCE 4.25 06-23 25/10A Anleihen EUR 0.99%
DE0001135481 GERMANY 2.50 12-44 04/07A Anleihen EUR 0.94%
IT0001278511 ITALY 5.25 98-29 01/11S Anleihen EUR 0.93%
IT0005358806 ITALY BUONI POLIENNA 3.35 19-35 01/06S Anleihen EUR 0.92%
IT0005323032 ITALY 2.00 18-28 01/02S Anleihen EUR 0.91%
ES00000124H4 SPAIN 5.15 13-44 31/10A Anleihen EUR 0.91%
IT0004644735 ITALY 4.50 10-26 01/03S Anleihen EUR 0.83%
FR0013286192 FRANCE 0.75 17-28 25/05A Anleihen EUR 0.82%
IT0005094088 ITALY 1.65 15-32 01/03S Anleihen EUR 0.81%
DE0001135275 GERMANY 4.00 05-37 04/01A Anleihen EUR 0.80%
FR0013344751 FRANCE 0.0 18-24 25/03A Anleihen EUR 0.79%
ES00000121G2 SPAIN 4.80 08-24 31/01A Anleihen EUR 0.78%
ES0000012A89 SPAIN 1.45 17-27 31/10A Anleihen EUR 0.77%
IT0005386245 ITALY 0.3500 19-25 01/02S Anleihen EUR 0.77%
DE0001135044 GERMANY 6.50 97-27 04/07A Anleihen EUR 0.73%
NL0012171458 NETHERLANDS 0.75 17-27 15/07A Anleihen EUR 0.72%
FR0010171975 FRANCE 4.00 04-55 25/04A Anleihen EUR 0.70%
DE0001135176 GERMANY 5.50 00-31 04/01A Anleihen EUR 0.70%
ES0000012B39 SPAIN 1.40 18-28 30/04A Anleihen EUR 0.69%
FR0013404969 FRANCE 1.50 18-50 25/05A Anleihen EUR 0.68%
DE0001102481 GERMANY 0.00 19-50 15/08U Anleihen EUR 0.67%
ES00000127A2 SPAIN 1.95 15-30 30/07A Anleihen EUR 0.66%
DE0001102317 GERMANY 1.50 13-23 15/05U Anleihen EUR 0.65%
IT0004898034 ITALY 4.50 13-23 01/05S Anleihen EUR 0.64%
DE0001102325 GERMANY 2.00 13-23 15/08A Anleihen EUR 0.63%
FR0013283686 FRANCE 0.00 17-23 25/03A Anleihen EUR 0.62%
FR0012993103 FRANCE 1.50 15-31 25/05A Anleihen EUR 0.62%
ES00000120N0 SPAIN 4.90 07-40 30/07A Anleihen EUR 0.61%
IT0005325946 ITALY 0.95 18-23 01/03S Anleihen EUR 0.60%
BE0000331406 BELGIUM 3.75 13-45 22/06A Anleihen EUR 0.60%
FR0013341682 FRANCE 0.75 17-28 25/11A Anleihen EUR 0.59%
IT0004889033 ITALY 4.75 13-28 01/09S Anleihen EUR 0.57%
NL0009446418 NETHERLANDS 3.75 10-42 15/01A Anleihen EUR 0.55%
FR0014001N46 FRANCE 0.00 21-24 25/02A Anleihen EUR 0.55%
DE0001135226 GERMANY 4.75 03-34 04/07A Anleihen EUR 0.54%
DE0001141786 BUNDSOBLIGATION 0.0 18-23 13/10A Anleihen EUR 0.53%
BE0000304130 BELGIUM 5.00 04-35 28/03A Anleihen EUR 0.53%
IT0005024234 ITALY 3.50 14-30 01/03S Anleihen EUR 0.53%
DE0001104834 GERMANY 0.00 21-23 10/03A Anleihen EUR 0.53%
IT0001174611 ITALY BTP 6.50 97-27 01/11S Anleihen EUR 0.52%
FR0010916924 FRANCE 3.50 10-26 25/04A Anleihen EUR 0.52%
DE0001141778 ALLEMAGNE 0.00 18-23 14/04A Anleihen EUR 0.51%
IT0001444378 ITALY 6.00 00-31 01/05S Anleihen EUR 0.50%
FR0010371401 FRANCE 4.00 06-38 25/10A Anleihen EUR 0.50%
IT0005170839 ITALY 1.60 16-26 01/06S Anleihen EUR 0.49%
FR0013154044 FRANCE 1.25 16-36 25/05A Anleihen EUR 0.48%
DE0001135432 GERMANY 3.25 10-42 04/07A Anleihen EUR 0.48%
IT0005045270 ITALY 2.50 14-24 01/12S Anleihen EUR 0.47%
FR0000571218 FRANCE 5.50 98-29 25/04A Anleihen EUR 0.46%
IT0004513641 ITALY 5.00 09-25 01/03S Anleihen EUR 0.46%
FR0012938116 FRANCE 1.00 15-25 25/11A Anleihen EUR 0.45%
NL0010071189 NETHERLANDS 2.50 12-33 15/01A Anleihen EUR 0.45%
NL0000102234 NETHERLANDS 4.00 05-37 15/01A Anleihen EUR 0.45%
FR0013516549 FRANCE 0.0000 20-30 25/11A Anleihen EUR 0.45%
DE0001102523 GERMANY 0.00 20-27 15/11U Anleihen EUR 0.45%
ES0000012G26 SPAIN 0.80 20-27 30/07A Anleihen EUR 0.45%
ES0000012932 SPAIN 4.20 05-37 31/01A Anleihen EUR 0.44%
DE0001135143 GERMANY 6.25 00-30 04/01A Anleihen EUR 0.44%
FR0013415627 FRANCE 0.00 19-25 25/03A Anleihen EUR 0.44%
BE0000341504 BELGIUM 0.80 17-27 22/06A Anleihen EUR 0.44%
DE0001102408 GERMANY 0.00 16-26 15/08U Anleihen EUR 0.43%
IT0005001547 ITALY 3.75 14-24 01/09S Anleihen EUR 0.43%
FR0000571085 FRANCE 8.50 92-23 25/04A Anleihen EUR 0.43%
ES0000012F43 SPAIN 0.60 19-29 31/10A Anleihen EUR 0.43%
ES00000123X3 SPAIN 4.40 13-23 31/10A Anleihen EUR 0.43%
ES0000012G00 SPAIN 1.00 20-50 31/10A Anleihen EUR 0.43%
IT0004532559 ITALY 5.00 09-40 01/09S Anleihen EUR 0.43%
DE0001102390 GERMANY 0.50 16-26 15/02A Anleihen EUR 0.43%
ES0000012E69 SPAIN 1.85 19-35 05/03A Anleihen EUR 0.43%
IT0003535157 ITALY 5.00 03-34 01/08S Anleihen EUR 0.42%
ES00000124W3 SPAIN 3.80 14-24 30/04A Anleihen EUR 0.42%
DE0001102440 GERMANY 0.5 18-28 15/02A Anleihen EUR 0.42%
FR0013451507 FRANCE 0.0000 19-29 25/11A Anleihen EUR 0.41%
ES00000128P8 SPAIN 1.50 17-27 30/04A Anleihen EUR 0.41%
IT0005413171 ITALY 1.65 20-30 01/12S Anleihen EUR 0.40%
ES00000122E5 SPAIN 4.65 10-25 30/07A Anleihen EUR 0.40%
IT0005384497 ITALY 0.05 19-23 15/01S Anleihen EUR 0.40%
BE0000334434 BELGIUM 0.80 15-25 22/06A Anleihen EUR 0.39%
FR0013407236 FRANCE 0.5 18-29 25/05A Anleihen EUR 0.39%
DE0001102309 GERMANY 1.50 13-23 15/02A Anleihen EUR 0.39%
FR0013257524 FRANCE 2.00 17-48 25/05A Anleihen EUR 0.38%
ES00000123U9 SPAIN 5.40 13-23 31/01A Anleihen EUR 0.38%
IT0005177909 ITALY 2.25 16-36 01/09S Anleihen EUR 0.37%
NL0012650469 NETHERLANDS 0.00 17-24 15/01U Anleihen EUR 0.37%
ES0000012B88 SPAIN 1.40 18-28 30/07A Anleihen EUR 0.37%
IT0005127086 ITALY 2.00 15-25 01/12S Anleihen EUR 0.37%
FR0010870956 FRANCE 4.00 09-60 25/04A Anleihen EUR 0.37%
ES00000126B2 SPAIN 2.75 14-24 31/10A Anleihen EUR 0.37%
FR0010773192 FRANCE 4.50 09-41 25/04A Anleihen EUR 0.36%
DE0001102424 GERMANY 0.50 17-27 15/08A Anleihen EUR 0.36%
DE0001102382 GERMANY 1.00 15-25 15/08A Anleihen EUR 0.36%
IT0005425233 ITALY 1.70 20-51 01/09S Anleihen EUR 0.35%
NL0010721999 NETHERLANDS 2.75 14-47 15/01A Anleihen EUR 0.35%
DE0001102499 GERMANY 0.00 20-30 15/02A Anleihen EUR 0.35%
DE0001102416 ALLEMAGNE 0.25 17-27 15/02A Anleihen EUR 0.35%
DE0001141794 GERMANY 0.00 19-24 25/01A Anleihen EUR 0.34%
DE0001102531 GERMANY 0.00 21-31 15/02A Anleihen EUR 0.34%
NL0012818504 ROYAUME PAYS-BAS 0.75 18-28 15/07A Anleihen EUR 0.33%
IT0005282527 ITALY 1.45 17-24 15/10S Anleihen EUR 0.33%
IT0005246340 ITALY 1.85 17-24 15/05S Anleihen EUR 0.33%
ES00000126Z1 SPAIN 1.60 15-25 30/04A Anleihen EUR 0.32%
BE0000291972 BELGIUM OLO 5.50 98-28 28/03A Anleihen EUR 0.32%
IT0005327306 ITALIE 1.45 25 15-03S Anleihen EUR 0.32%
ES00000127Z9 SPAIN 1.95 16-26 30/04A Anleihen EUR 0.30%
BE0000346552 BELGIUM 1.25 18-33 22/04A Anleihen EUR 0.30%
DE0001135069 GERMANY 5.625 98-28 04/01A Anleihen EUR 0.30%
DE0001102432 GERMANY 1.25 17-48 15/08A Anleihen EUR 0.30%
DE0001102515 GERMANY 0.00 20-35 15/05A Anleihen EUR 0.30%
FR0014002WK3 FRANCE 0.00 21-31 25/11A Anleihen EUR 0.29%
IT0005398406 BUONI POLIENNALI TES 2.45 20-50 01/09S Anleihen EUR 0.29%
IT0005377152 ITALY 3.10 19-40 01/03S Anleihen EUR 0.29%
FR0013131877 FRANCE 0.50 15-26 25/05A Anleihen EUR 0.29%
IT0001086567 ITALY 7.25 96-26 01/11S Anleihen EUR 0.29%
FR0013234333 FRANCE 1.75 17-39 25/06A Anleihen EUR 0.28%
AT0000383864 AUSTRIA 6.25 97-27 15/07A Anleihen EUR 0.28%
DE0001135366 GERMANY 4.75 08-40 04/07A Anleihen EUR 0.28%
FR0011337880 FRANCE 2.25 11-22 25/10A Anleihen EUR 0.28%
BE0000348574 BELGIUM 1.7 19-50 05/02A Anleihen EUR 0.28%
IT0005433690 ITALY 0.25 21-28 15/03S Anleihen EUR 0.28%
FR0011486067 FRANCE 1.75 12-23 25/05A Anleihen EUR 0.28%
IT0004286966 ITALY 5.00 07-39 01/08S Anleihen EUR 0.27%
ES0000012E85 SPAIN 0.25 19-24 30/07A Anleihen EUR 0.27%
IT0005436693 ITALY 0.6 21-31 01/08S Anleihen EUR 0.27%
ES0000012A97 SPAIN 0.45 17-22 31/10A Anleihen EUR 0.27%
NL0010060257 NETHERLANDS 2.25 12-22 15/07A Anleihen EUR 0.26%
ES00000128H5 SPAIN 1.30 16-26 31/10A Anleihen EUR 0.26%
IT0005405318 ITALY 0.60 20-23 15/06S Anleihen EUR 0.26%
IT0005321325 ITALIE 2.95 17-38 01/09S Anleihen EUR 0.26%
IT0005363111 BUONI POLIENNAL 3.8500 18-49 01/09S Anleihen EUR 0.26%
PTOTEVOE0018 PORTUGAL 2.125 18-28 17/10A Anleihen EUR 0.26%
AT0000A04967 AUSTRIA 4.15 06-37 15/03A Anleihen EUR 0.26%
AT0000A185T1 AUSTRIA 1.65 14-24 21/10A Anleihen EUR 0.26%
AT0000A1K9F1 AUSTRIA 1.50 16-47 20/02A Anleihen EUR 0.26%
IT0003256820 ITALY 5.75 02-33 01/02S Anleihen EUR 0.26%
ES0000012G42 SECRETAR A GENERAL 1.2 20-40 31/10A Anleihen EUR 0.26%
BE0000349580 BELGIUM 0.1000 20-30 22/06A Anleihen EUR 0.26%
DE0001102333 GERMANY 1.75 14-24 15/02A Anleihen EUR 0.26%
AT0000A2EJ08 AUSTRIA 0.75 20-51 20/03A Anleihen EUR 0.25%
DE0001134922 BRD 6.25 94-24 04/01A Anleihen EUR 0.25%
DE0001102374 GERMANY 0.50 15-25 15/02A Anleihen EUR 0.25%
BE0000345547 BELGIUM 0.80 18-28 22/06A Anleihen EUR 0.25%
DE0001030708 GERMANY 0.0000 20-30 15/08A Anleihen EUR 0.25%
FR0013313582 FRANCE 1.25 18-34 25/05A Anleihen EUR 0.25%
AT0000A1K9C8 AUSTRIA 0.75 16-26 20/10A Anleihen EUR 0.25%
IT0004356843 ITALY 4.75 08-23 01/08S Anleihen EUR 0.25%
AT0000A269M8 AUSTRIA 0.5 19-29 20/02A Anleihen EUR 0.24%
PTOTEKOE0011 PORTUGAL 2.875 15-25 15/10A Anleihen EUR 0.24%
IT0005172322 ITALY BTP 0.95 16-23 15/03S Anleihen EUR 0.24%
NL0010418810 NETHERLANDS 1.75 13-23 15/07A Anleihen EUR 0.24%
PTOTEAOE0021 PORTUGAL 4.95 08-23 25/10A Anleihen EUR 0.24%
AT0000A10683 AUSTRIA 2.40 13-34 23/05A Anleihen EUR 0.24%
DE0001102556 GERMANY 0.00 21-28 15/11A Anleihen EUR 0.23%
ES00000124C5 SPAIN 5.15 13-28 31/10A Anleihen EUR 0.23%
NL0010733424 NETHERLANDS 2.00 14-24 15/07A Anleihen EUR 0.23%
IT0005445306 ITALY 0.5 21-28 15/07S Anleihen EUR 0.23%
DE0001102341 GERMANY 2.50 14-46 15/08A Anleihen EUR 0.23%
IT0005416570 ITALY 0.95 20-27 15/09S Anleihen EUR 0.22%
PTOTE5OE0007 PORTUGAL 4.10 06-37 15/04A Anleihen EUR 0.22%
BE0000328378 BELGIUM 2.25 13-23 22/06A Anleihen EUR 0.22%
AT0000A105W3 AUSTRIA 1.75 13-23 20/10A Anleihen EUR 0.22%
ES00000127G9 SPAIN 2.15 15-25 31/10A Anleihen EUR 0.21%
IT0005274805 ITALY 2.05 17-27 01/08S Anleihen EUR 0.21%
DE0001102457 GERMANY 0.25 18-28 15/08A Anleihen EUR 0.21%
IT0005273013 ITALY 3.45 17-48 01/03S Anleihen EUR 0.21%
IE00B4TV0D44 IRELAND 5.40 09-25 13/03A Anleihen EUR 0.21%
ES0000012F84 SPAIN 0.00 20-23 30/04A Anleihen EUR 0.21%
ES00000128E2 SPAIN 3.45 16-66 30/07A Anleihen EUR 0.21%
IT0005345183 REPUBLIQUE ITALIENNE 2.5 18-25 15/11S Anleihen EUR 0.21%
DE0001135325 GERMANY 4.25 07-39 04/07A Anleihen EUR 0.21%
FR0013154028 FRANCE 1.75 15-66 25/05A Anleihen EUR 0.21%
IT0005383309 ITALY 1.35 19-30 01/04S Anleihen EUR 0.20%
DE0001135085 GERMANY 4.75 98-28 04/07A Anleihen EUR 0.20%
IE00BJ38CR43 IRELAND 2.40 14-30 15/05A Anleihen EUR 0.20%
BE0000337460 BELGIUM 1.00 16-26 22/06A Anleihen EUR 0.19%
ES0000012F76 SPAIN 0.50 20-30 30/04A Anleihen EUR 0.19%
BE0000332412 BELGIUM 2.60 14-24 22/06A Anleihen EUR 0.19%
IT0005433195 ITALY 0.95 21-37 01/03S Anleihen EUR 0.19%
DE0001102473 BUNDESREPUB. DE 0.0000 19-29 15/08A Anleihen EUR 0.19%
PTOTEMOE0035 PORTUGAL 0.70 20-27 15/10A Anleihen EUR 0.19%
ES00000123C7 SPAIN 5.90 11-26 30/07A Anleihen EUR 0.19%
DE0001102358 GERMANY 1.50 14-24 15/05A Anleihen EUR 0.19%
BE0000339482 BELGIUM 0.20 16-23 22/10A Anleihen EUR 0.19%
AT0000A0U3T4 AUSTRIA 3.40 12-22 22/11A Anleihen EUR 0.18%
IT0005408502 ITALY 1.8500 20-25 01/07S Anleihen EUR 0.18%
ES0000012E51 SPAIN 1.45 19-29 29/01A Anleihen EUR 0.18%
IT0005452989 ITALY 21-24 15/08U Anleihen EUR 0.18%
NL0000102317 NETHERLANDS 5.50 98-28 15/01A Anleihen EUR 0.17%
IT0005370306 ITALY TB 2.10 19-26 15/07S Anleihen EUR 0.17%
PTOTELOE0028 PORTUGAL 0.475 20-30 18/10A Anleihen EUR 0.17%
BE0000320292 BELGIUM 4.25 10-41 28/03A Anleihen EUR 0.17%
PTOTEROE0014 PORTUGAL 3.875 14-30 15/02A Anleihen EUR 0.17%
IT0005090318 ITALY 1.50 15-25 01/06S Anleihen EUR 0.17%
IE00BV8C9186 IRELAND 2.00 15-45 18/02A Anleihen EUR 0.17%
FI4000037635 FINLAND 2.75 12-28 04/07A Anleihen EUR 0.17%
AT0000A1FAP5 AUSTRIA 1.20 15-25 20/10A Anleihen EUR 0.16%
FR0013200813 FRANCE 0.25 15-26 25/11A Anleihen EUR 0.16%
IE00BDHDPR44 IRELAND 0.90 18-28 15/05A Anleihen EUR 0.16%
DE0001141802 GERMANY 0.00 19-24 18/10A Anleihen EUR 0.16%
NL0015614579 NETHERLANDS 0.00 20-52 15/01A Anleihen EUR 0.16%
BE0000347568 BELGIUM 0.9 19-29 22/06A Anleihen EUR 0.16%
IT0005402117 ITALY 1.45 20-36 01/03S Anleihen EUR 0.16%
FR0013508470 FRANCE 0.00 20-26 25/02A Anleihen EUR 0.15%
AT0000A0DXC2 AUSTRIA 4.85 09-26 15/03A Anleihen EUR 0.15%
BE0000325341 BELGIUM 4.25 12-22 28/09A Anleihen EUR 0.15%
BE0000326356 BELGIUM 4.00 12-32 28/03A Anleihen EUR 0.15%
DE0001102564 GERMANY 0.00 21-31 15/08A Anleihen EUR 0.15%
FR0013480613 FRANCE ZCP 290420 Anleihen EUR 0.15%
BE0000352618 BELGIUM 0.00 21-31 22/10U Anleihen EUR 0.14%
IE00BKFVC568 IRELAND 0.20 20-27 15/05A Anleihen EUR 0.14%
FI4000046545 FINLAND 2.625 12-42 04/07A Anleihen EUR 0.14%
- CASH - - 0.14%
IT0004953417 ITALY 4.50 13-24 01/03S Anleihen EUR 0.14%
IT0005217390 ITALY 2.80 16-67 01/03S Anleihen EUR 0.14%
DE0001102507 GERMANY 0.0 20-30 15/08A Anleihen EUR 0.14%
IE00BFZRQ242 IRELAND 1.35 18-31 18/03A Anleihen EUR 0.14%
IE00BKFVC899 IRELAND 0.20 20-30 18/10A Anleihen EUR 0.13%
ES0000012H41 SPAIN 0.1 21-31 30/04A Anleihen EUR 0.13%
BE0000344532 BELGIUM 1.45 17-37 22/06A Anleihen EUR 0.13%
ES0000012B47 SPAIN 2.70 18-48 31/10A Anleihen EUR 0.13%
AT0000A1ZGE4 AUSTRIA 0.75 18-28 20/02A Anleihen EUR 0.13%
BE0000335449 BELGIUM 1.00 15-31 22/06A Anleihen EUR 0.13%
IE00BKFVC345 IRELAND 0.40 20-35 15/05A Anleihen EUR 0.13%
PTOTETOE0012 PORTUGAL 2.875 16-26 21/07A Anleihen EUR 0.13%
IT0003934657 ITALY 4.00 05-37 01/02S Anleihen EUR 0.13%
FI4000278551 FINLAND 0.50 17-27 15/09A Anleihen EUR 0.12%
ES0000012I32 SPAIN 0.5 21-31 31/10A Anleihen EUR 0.12%
IE00B6X95T99 IRELAND 3.40 14-24 18/03A Anleihen EUR 0.12%
ES0000012G91 SPAIN 0.00 20-26 31/01A Anleihen EUR 0.12%
ES0000011868 SPAIN 6.00 98-29 31/01A Anleihen EUR 0.12%
PTOTEUOE0019 PORTUGAL 4.125 17-27 14/04A Anleihen EUR 0.11%
NL0011819040 NETHERLANDS 0.50 16-26 15/07A Anleihen EUR 0.11%
IE00BH3SQB22 IRELAND 1.50 19-50 15/05A Anleihen EUR 0.11%
ES0000012G34 SPAIN (BON.ESTATADO) 1.25 20-30 31/10A Anleihen EUR 0.11%
NL0013332430 NETHERLANDS 0.25 19-29 14/02A Anleihen EUR 0.11%
NL0000102077 NETHERLANDS 7.50 93-23 15/01A Anleihen EUR 0.11%
IT0005240350 ITALY 2.45 16-33 01/09S Anleihen EUR 0.11%
FI4000197959 FINLAND 0.50 16-26 15/04A Anleihen EUR 0.11%
AT0000A2NW83 AUSTRIA 0.00 21-31 20/02A Anleihen EUR 0.11%
IT0005437147 ITALY 0.00 -26 01/04U Anleihen EUR 0.11%
DE0001102366 GERMANY 1.00 14-24 15/08A Anleihen EUR 0.11%
ES00000121S7 SPAIN 4.70 09-41 30/07A Anleihen EUR 0.11%
NL00150006U0 NETHERLANDS 0.00 21-31 15/07A Anleihen EUR 0.10%
BE0000336454 BELGIUM 1.90 15-38 22/06A Anleihen EUR 0.10%
AT0000A1XML2 AUSTRIA 2.10 17-17 20/09A Anleihen EUR 0.10%
PTOTEOOE0033 PORTUGAL 0.30 21-31 17/10A Anleihen EUR 0.10%
FI4000148630 FINLAND 0.75 15-31 15/04A Anleihen EUR 0.10%
NL0013552060 NETHERLANDS 0.50 19-40 15/01A Anleihen EUR 0.10%
BE0000342510 BELGIUM 0.50 17-24 22/10A Anleihen EUR 0.10%
AT0000A0VRQ6 AUSTRIA 3.15 12-44 20/06A Anleihen EUR 0.10%
IT0004801541 ITALY 5.50 12-22 01/09S Anleihen EUR 0.09%
IT0005454241 REPUBLIQUE ITALIENNE 0.00 21-26 01/08S Anleihen EUR 0.09%
BE0000343526 BELGIUM 2.25 17-57 22/06A Anleihen EUR 0.09%
FI4000062625 FINLAND 1.50 13-23 15/04A Anleihen EUR 0.09%
PTOTEQOE0015 PORTUGAL 5.65 13-24 15/02A Anleihen EUR 0.09%
PTOTEBOE0020 PORTUGAL 4.10 15-45 15/02A Anleihen EUR 0.09%
ES0000012H58 SPAIN 1.45 21-71 31/10A Anleihen EUR 0.09%
FR0011619436 FRANCE 2.25 13-24 25/05A Anleihen EUR 0.09%
FR0014001NN8 FRANCE 0.50 21-72 25/05A Anleihen EUR 0.09%
FI4000306758 FINLAND 1.125 18-34 15/04A Anleihen EUR 0.09%
PTOTENOE0034 PORTUGAL 0.90 20-35 12/10A Anleihen EUR 0.09%
AT0000A2T198 REPUBLIC OF AUS 0.2500 21-36 20/10A Anleihen EUR 0.09%
IE00BV8C9418 IRELAND 1.00 16-26 15/05A Anleihen EUR 0.09%
FI4000219787 FINLAND 0.00 16-23 15/09U Anleihen EUR 0.09%
NL0011220108 NETHERLANDS 0.25 15-25 15/07A Anleihen EUR 0.09%
AT0000A1PE50 AUSTRIA 0.00 16-23 15/07U Anleihen EUR 0.09%
IT0005421703 ITALY 1.80 20-41 01/03S Anleihen EUR 0.08%
IT0005367492 ITALY 1.75 19-24 01/07S Anleihen EUR 0.08%
IE00BMQ5JL65 IRELAND 0.00 21-31 18/10A Anleihen EUR 0.08%
IE00B4S3JD47 IRELAND 3.90 13-23 20/03A Anleihen EUR 0.08%
IT0004848831 ITALY 5.50 12-22 01/11S Anleihen EUR 0.08%
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