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Unternehmensanleihen

Symbol Unternehmen Zinssatz Fälligkeit Rating CUSIP
B-FOXA-7.750-12012045 21st Century Fox Amer Inc. 7,750 % 2045-12-01 XXX 90131HAT2
B-ACE-9.700-01042030 ACE Ltd. 9.700% 2030-04-01 BBB+ 00440FAA2
B-ACOR-1.750-15062021 Acorda Therapeutics 1.750% 2021-06-01 BB- 00484MAA4
B-ADBE-4.75-01022020 Adobe Systems Inc. 4.750% 2020-02-01 A- 00724FAB7
B-AAPL-3.460-23022021 Apple Inc. 3.460%   2021-23-02 AA+ 037833BT6
B-ALL-5.750-15082053 AllState Corp. 5.750% 2053-08-01 BBB 020002BB6
B-ELGX-2.250-15122018 Endologix Inc. 2.250% 2018-12-01 BB- 29266SAA4
B-MO-4.75-05052021 Altria Group Inc. 4.750% 2021-05-01 A- 02209SAL7
B-MO-10.200-06022039 Altria Group Inc. 10.200% 2039-02-01 A- 02209SAH6
Kennung B-MO-4.0-31012024 Altria Group Inc. 4.000% 2024-01-01 A- 02209SAS2
Kennung B-MO-9.95-10112038 Altria Group Inc. 9.950% 2038-11-01 A- 02209SAE3
Kennung B-MO-2.85-09082022 Altria Group Inc. 2.850% 2022-08-01 A- 02209SAN3
Kennung B-MO-5.375-31012044 Altria Group Inc. 5.375% 2044-01-01 A- 02209SAR4
Kennung B-AAL-8.057-02012022 American Airlines 8,057 % 01.02.2022 Sehr gut 023650AG9
B-AXP-8.150-19032038 American Express 8,150 % 19.03.2038 BBB+ 025816AZ2
B-AXP-8.125-20052019 American Express 8,125 % 01.05.2019 BBB+ 025816BB4
B-AMGN-3.875-15112021 Amgen Inc. 3,875 % 01.11.2021 A 031162BM1
B-ANAC-2.000-15102021 Anacor Pharmaceuticals Inc. 2,000 % 15.10.2021 XXX 032420AC5
B-ANR-7.000-01062025 Anr Pipeline Co 7,000 % 06.01.2025 BBB+ 001814AS1
B-AON-8.205-01012027 Aon Corp 8,205 % 2027-01-01 BBB 037389AK9
B-BUD-0.625-01022019 Anheuser-Busch 0.625% 2019-02-01 XXX XXXXXX
B-PCAR-0.835-06122018 Paccar 0.835% 2018-12-01 XXX XXXXXX
B-ARRY-3.000-01062020 Array Biopharma Inc. 3.000% 2020-06-01 BB- BB-
B-AZN-7.0-15112023 AstraZeneca PLC 7,000 % 2023-11-01 XXX XXXXXX
B-T-1.144-27112018 AT&T 1.144% 2018-11-01 XXX XXXXXX
B-AAWW-8.707-02072021 Atlas Air Worldwide 8.707% 2021-07-01 XXX XXXXXX
B-AAWW-7.308-02072019 Atlas Air Worldwide 7.308% 2019-07-01 BB- 049164AK2
B-AAWW-7.680-02072020 Atlas Air Worldwide 7.200% 2020-07-01 BB- 049164AU0
B-BIDU-3.625-06072027 Baidu Inc. 3,625 % 2027-06-07 XXX 056752AJ7
B-C-1.117-09112018 Citigroup 1,117 % 2018-11-01 XXX XXXXXX
B-BAC-5.625-01072020 Bank of America 5,625 % 2020-07-01 BBB+ 06051GEC9
B-BAC-5.875-05012021 Bank of America 5,875 % 01.01.2021 BBB+ 06051GEE5
B-BMO-3.803-15122032 Bank von Montreal Que 3.803% 15.12.2032 XXX 06368BGS1
B-BNS-4.0-30012026 Bank von Nova Scotia 4.000% 01.01.2026 XXX XXXXXX
B-BNS-3.0-16112026 Bank von Nova Scotia 3.000% 01.11.2026 XXX XXXXXX
B-GS-1.336-15112018 Goldman Sachs Group Inc. 1.336% 2018-11-01 XXX XXXXXX
B-BCS-5.14-14102020 Barclays PLC 5,140 % 01.10.2020 XXX XXXXXX
B-BCS-4.0-16092024 Barclays PLC 4.000% 01.09.2024 XXX XXXXXX
B-BCS-3.5-16022020 Barclays PLC 3,500 % 2020-02-01 XXX XXXXXX
B-BCS-2.5-28032028 Barclays PLC 2,500 % 01.03.2028 XXX XXXXXX
B-BCS-0.983-28112022 Barclays PLC 0,983 % 01.11.2022 XXX XXXXXX
B-ABX-4.4-30052021 Barrick Nordamerika Fin LLC 4.400% 2021-05-01 BB- U0684TAA4
B-BRK-2.1-14082019 Berkshire Hath 2.100% 2019-08-01 AA 084670BL1
B-BHP-6.42-01032026 BHP Billiton Limited 6.420% 2026-03-01 XXX XXXXXX
B-BHP-4.125-24022042 BHP Billiton Limited 4.125% 2042-02-01 BBB+ 055451AR9
B-BHP-3.25-21112021 BHP Billiton Limited 3,250 % 01.11.2021 BBB+ 055451AL2
B-BHP-2.875-24022022 BHP Billiton Limited 2,875 % 01.02.2022 BBB+ 055451AQ1
B-BA-7.25-15062025 Boeing 7,250 % 2025-06-01 A 097023AM7
B-BA-6.875-15102043 Boeing 6,875 % 2043-10-01 A 097023AN5
B-COF-4.75-15072021 Capital One Finanz. 4.750% 2021-07-01 BBB 14040HAY1
B-CARB-2.500-01042022 Carbonite Inc. 2,500 % 01.10.2022 XXX 141337AB1
B-CCL-7.200-01102023 Carnival Corp. 7.200% 01.10.2023 XXX XXXXXX
B-LYG-2.3-27112018 Lloyds Banking Group 2,300 % 2018-11-01 BBB+ 53944VAA7
B-CAT-7.15-15022019 Caterpillar Inc 7.150% 2019-02-01 XXX XXXXXX
B-C-1.534-27082020 Citigroup 1.534% 2020-08-01 XXX XXXXXX
B-C-4.5-14012022 Citigroup 4.500% 2022-01-01 BBB+ 172967FT3
B-C-8.125-15072039 Citigroup 8,125 % 2039-07-01 XXX XXXXXX
B-C-5.3-06052044 Citigroup 5.300% 2044-05-01 XXX XXXXXX
B-C-6.75-13092043 Citigroup 6.750% 2043-09-01 XXX XXXXXX
B-C-5.3-07112043 Citigroup 4.950% 2043-11-01 BBB+ 172967HE4
B-C-5.875-30012042 Citigroup 5,875 % 2042-01-01 XXX XXXXXX
B-C-7.875-15052025 Citigroup 7.875% 2025-05-01 XXX XXXXXX
B-C-3.875-25102023 Citigroup 3,875 % 01.10.2023 XXX XXXXXX
B-C-2.55-08042019 Citigroup 2.550% 2019-04-01 XXX XXXXXX
B-STO-0.685-08112018 Statoil ASA 0,685 % 2018-11-01 XXX XXXXXX
B-CIE-3.125-15052024 Cobalt International Energy 3,125 % 01.05.2024 BB- 19075FAB2
B-KO-5.71-18032037 Coca-Cola 5,710 % 01.03.2037 AA- 19122EAP7
B-UAL-6.545-02082020 Continental Airlines 6.545% 2020-08-01 A- 210805CQ8
B-UAL-6.545-11102025 Continental Airlines 4.150% 2025-10-01 A- 210795PZ7
B-UAL-8.048-01052022 Continental Airlines 8.048% 2022-05-01 A- 210805CY1
B-UAL-7.707-02102022 Continental Airlines 7.707% 01.10.2022 BBB- 210805DD6
B-UAL-6.703-15122022 Continental Airlines 6,703 % 2022-12-01 A- 210805DH7
B-UAL-5.5-29042022 Continental Airlines 5,500 % 2022-04-01 BBB 210795QC7
B-UAL-4.15-11102025 Continental Airlines 4.150% 2025-10-01 A- 210795PZ7
B-CVG-5.750-15092029 Convergys Corp. 5.750% 2029-09-01 BB- 212485AE6
B-CAT-7.05-01102018 Caterpillar Inc 7,050 % 2018-10-01 XXX XXXXXX
B-DAL-6.264-20052023 Delta Fluglinien 6.264% 2023-05-01 XXX XXXXXX
B-DAL-7.150-01042021 Delta Fluglinien 7.150% 2021-04-01 XXX XXXXXX
B-DEPO-2.500-01092021 Depomed AG 2,500 % 2021-09-01 BB- 249908AA2
B-DB-8.750-15062030 Deutsche Bank 8.750% 2030-06-01 BBB+ 25156PAC7
B-DB-4.296-24052028 Deutsche Bank 4,296% 01.05.2028 BB- 251525AM3
B-DB-0.125-20122019 Deutsche Bank 0,125% 01.12.2019 XXX XXXXXX
B-DISH-6.75-01062021 Dish DBS Corp 6.750% 2021-06-01 BB- U25486AC2
B-ENLK-6.000-31123999 Enlink Midstream Partner LP. 6,000% 31.12.3999   29336UAH0
B-GPRE-3.250-01102018 Green Plains 3,250 % 2018-10-01 BB- 393222AD6
B-EVER-5.750-02072025 Everbank Finanzgesellschaft 5.750% 07.02.2025   29977GAA0
B-EXEL-4.250-15082019 Exelixis Inc. 4,250 % 2019-08-01 XXX XXXXXX
B-FDX-6.72-15072023 FedEx 6,720 % 01.07.2023 XXX XXXXXX
B-F-9.375-01032020 Ford Holdings Inc 9,375 % 01.03.2020 BBB 345277AB3
B-F-5.75-01022021 Ford Motor Co. 5.750% 01.02.2021 BBB 345397VR1
B-F-7.7-15052097 Ford Motor Co. 7,700 % 01.05.2097 BBB 345370BS8
B-GMT-8.100-13012020 GATX Rail Corp. 8.100% 2020-01-01 BBB+ 361452AA3
B-GELK-5.012-01012024 General Elec Cap Corp Mittelfristige Schuldverschreibungen Bo 5.012% 2024-01-01 A 36962GU44
B-NAV-4.500-15102018 Navistar 4.500% 2018-10-01 CCC- 63934EAQ1
B-GE-1.226-15042023 General Electric 1.226% 2023-04-01 XXX XXXXXX
B-GM-8.000-01112031 General Motors Akzeptanz Corp. 8.000% 2031-11-01 BB+ 370425RZ5
B-ALLY-4.750-10092018 Ally Finanz. 4.750% 2018-09-01 BB+ 02005NAR1
B-GS-6.345-15022034 Goldman Sachs Group Inc. 6.345% 2034-02-01 BB 38143VAA7
B-GS-4.0-31123999 Goldman Sachs Group Inc. 4.000% 3999-12-01 BB 381427AA1
B-TD-2.625-10092018 Toronto-Dominion Bank 2,625 % 2018-09-01 BBB+ 89114QAM0
B-GS-6.25-01022041 Goldman Sachs Group Inc. 6,250 % 2041-02-01 BBB+ 38141GGM0
B-GS-5.25-27072021 Goldman Sachs Group Inc. 5,250 % 2021-07-01 BBB+ 38141GGQ1
B-GS-5.75-24012022 Goldman Sachs Group Inc. 5.750% 2022-01-01 BBB+ 38141GGS7
B-GS-3.625-22012023 Goldman Sachs Group Inc. 3,625 % 2023-01-01 BBB+ 38141GRD8
B-VZ-1.984-14092018 Verizon Communications 1.984% 2018-09-01 XXX XXXXXX
B-HK-7.25-15082018 Petrohawk Energy Corp 7,250 % 2018-08-01 BB- U71618AE9
B-GS-2.625-31012019 Goldman Sachs Group Inc. 2,625 % 2019-01-01 BBB+ 38145XAA1
B-GS-3.875-15042025 Goldman Sachs Group Inc. 3,875 % 2025-04-01 XXX XXXXXX
B-HA-3,900-15072027 Hawaiian Airlines 3,900 % 2027-07-01 A- 419838AA5
B-HA-4,950-15072023 Hawaiian Airlines 4.950% 01.07.2023 BB+ 419839AA3
B-HSBC-6,676-15012021 HSBC Finanzgesellschaft 6,760 % 2021-15-01 XXX 40429CGD8
B-HSBC-4,950-15092037 HSBC Holdings plc 6.500% 2037-15-09 BBB+ 404280AH2
B-INSG-5,50-15062022 Inseego Corp 5,500 % 2022-15-06 XXX 45782BAA2
B-INTC-2.95-15122035 Intel 2.950% 2035-12-01 XXX XXXXXX
B-INTC-3.25-01082039 Intel 3,250 % 2039-08-01 A 458140AF7
B-ICPT-3.250-07012023 Intercept Pharmaceuticals Inc 3,250 % 01.07.2023 XXX 45845PAA6
B-JPM-6.3-23042019 JPMorgan Chase & Co. 6.300% 2019-04-01 XXX XXXXXX
B-JPM-4.95-25032020 JPMorgan Chase & Co. 4.950% 01.03.2020 XXX XXXXXX
B-JPM-4.25-15102020 JPMorgan Chase & Co. 4,250 % 01.10.2020 XXX XXXXXX
B-JPM-4.625-10052021 JPMorgan Chase & Co. 4.625% 2021-05-01 XXX XXXXXX
B-JPM-4.35-15082021 JPMorgan Chase & Co. 4.350% 2021-08-01 XXX XXXXXX
B-JPM-6.4-15052038 JPMorgan Chase & Co. 6.400% 2038-05-01 XXX XXXXXX
B-JPM-5.5-15102040 JPMorgan Chase & Co. 5,500 % 2040-10-01 XXX XXXXXX
B-JPM-5.6-15072041 JPMorgan Chase & Co. 5.600% 2041-07-01 XXX XXXXXX
B-KRFT-3.5-06062022 Kraft Foods 3,500 % 2022-06-01 BBB- 50076QAZ9
B-KRFT-5.375-10022020 Kraft Foods 5.375% 2020-02-01 BBB- 50076QAU0
B-KRFT-6.875-26012039 Kraft Foods 6,875 % 2039-01-01 BBB- 50076QAR7
B-KRFT-5-04062042 Kraft Foods 5.000% 2042-06-01 BBB- 50076QAE6
B-LRCX-2.625-15052041 Lam Research Gesellschaft 2,625 % 01.05.2041 XXX XXXXXX
B-LR-8.500-15022025 Legrand 8,500 % 01.02.2025 BBB+ 524671AA2
B-LVLT-11.875-01022019 Level 3 Communications Inc. 11,875 % 2019-02-01 BB- U52782AJ5
B-LYG-4.1-06072022 Lloyds Banking Group 4,100 % 2022-07-01 BBB+ 53944XCQ6
B-LYG-6.375-21012021 Lloyds Banking Group 6.375% 01.01.2021 BBB+ 539473AH1
B-M-9.75-15022021 Macy’s 9.750% 01.02.2021 XXX XXXXXX
B-M-9.500-15042021 Macy’s 9.500% 2021-04-01 XXX XXXXXX
B-MWV-7.5-15062027 MeadWestvaco Corporation 7.500% 2027-06-01 XXX XXXXXX
B-MET-10.75-01082069 MetLife Inc. 10.750% 2069-08-01 XXX XXXXXX
B-MTG-2.000-01042020 Magische Investition 2,000 % 2020-04-01 XXX XXXXXX
B-MCHP-2.125-15122037 Microchip-Technologie 2.125% 2037-12-01 B+ 595017AB0
B-MSFT-3.000-01102020 Microsoft Corp. 3.000% 01.10.2020 AAA 594918AH7
B-MSFT-4.2-01062019 Microsoft Corp. 4,200 % 2019-06-01 AAA 594918AC8
B-MSFT-4.0-08022021 Microsoft Corp. 4.000% 01.02.2021 AAA 594918AL8
B-MSFT-5.2-01062039 Microsoft Corp. 5,200 % 2039-06-01 AAA 594918AD6
B-MSFT-4.5-01102040 Microsoft Corp. 4.500% 2040-10-01 AAA 594918AJ3
B-MUFG-2.998-22022022 Mitsubishi UFJ Financial Group Inc. 2.998% 2022-22-02 XXX 606822AL8
B-MSI-6.500-01092025 Motorola Solutions 6.500% 2025-09-01 BBB- 620076AK5
B-MS-2.650-27012020 Morgan Stanley 2.650% 2020-27-01 BBB+ 61747YDW2
B-NWS-7.3-30042028 News Corp 7.300% 01.04.2028 XXX XXXXXX
B-NWS-6.55-15032033 News Corp 6.550% 01.03.2033 XXX XXXXXX
B-INSG-5.50-15062020 Novatel Wireless Inc. 5,500 % 15.06.2020 XXX 66987MAE9
B-NVLS-2.625-15052041 Novellus Sys Inc. 2,625 % 15.05.2041 BBB+ 670008AD3
B-OAS-2.625-15092023 Oasis Pete Inc. Neu. 2,625 % 15.09.2023 BB- 674215AJ7
B-OCR-3.75-15122025 Omnicare 3,750 % 2025-12-01 BBB- 681904AN8
B-OCR-3.500-15022044 Omnicare 3,500 % 2044-02-01 XXX XXXXXX
B-PCRX-2.375-01042022 Pacira Pharmaceuticals Inc. 2,375 % 2022-01-04 XXX 695127AD2
B-JCP-2-01042037 Penney J Corp Inc. 7,400 % 04.01.2021 B- 708160BS4
B-PBR-2.366-15012019 Petrobras 2,366 % 2019-01-01 XXX XXXXXX
B-PBR-3.113-17032020 Petrobras 3,113 % 01.03.2020 XXX XXXXXX
B-PM-1.875-15012019 Philip Morris 1,875 % 2019-01-01 A 718172BF5
B-PM-2.9-15112021 Philip Morris 2,900 % 01.11.2021 A 718172AL3
B-PM-3.6-15112023 Philip Morris 3,600 % 2023-11-01 A 718172BE8
B-PM-4.5-20032042 Philip Morris 4.500% 01.03.2042 A 718172AP4
B-PM-6.375-16052038 Philip Morris 6.375% 2038-05-01 A 718172AC3
B-PG-8.0-26102029 Procter & Gamble Co. 8.000% 01.10.2029 AA- 742718AV1
B-PRU-5.625-15062043 Prudential Financial 5,625 % 2043-06-01 BBB+ 744320AM4
B-PTCT-3,00-08152022 PTC Therapeutics 3.000% 2022-15-08 XXX 69366JAB7
B-CTQPP-6,75-01122021 Qwest Corp 6.750% 2021-12-01 BBB- 74913GAX3
B-RDN-2,250-01032019 Radian Group Inc. 2.250% 2019-03-01 XXX XXXXXX
B-RDUS-3.000-09012024 Radius Health Inc. 3.000% 2024-01-09 XXX 750469AA6
B-RY-3.000-30042024 Königliche Bank 3.000% 2024-04-01 BBB+ 78008T4S0
B-RY-8.000-18082031 Königliche Bank 8.000% 2031-08-01 XXX XXXXXX
B-RY-3.250-31012028 Königliche Bank 3,250 % 2028-01-01 BBB+ 78008SWA0
B-RY-2.000-31012024 Königliche Bank 2,000 % 2024-01-01 BBB+ 78008SVW3
B-RY-3.750-14082031 Königliche Bank 3,750 % 2031-08-01 XXX XXXXXX
B-RY-2.750-17052028 Königliche Bank 2.750% 01.05.2028 BBB+ 78008SWC6
B-RBS-5.125-28052024 Royal Bank of Scotland 5.125% 01.05.2024 BB- 780099CH8
B-RBS-6.000-19122023 Royal Bank of Scotland 6,000% 2023-12-01 BB- 780097AZ4
B-RBS-5.625-24082020 Royal Bank of Scotland 5,625 % 2020-08-01 BBB+ 78010XAE1
B-RPM-2.25-15122020 RPM Intl. Inc. 2.250% 2020-12-01 BBB 749685AT0
B-RYL-0.250-01062019 Ryland 0,250 % 2019-06-01 XXX XXXXXX
B-SLAB-1.375-01032022 Silicon Laboratories Inc. 1,375 % 2022-01-03 XXX 826919AB8
B-SMFG-3.0-18012023 Sumitomo Mitsui Financial 3.000% 2023-01-01 BBB+ 865622AZ7
B-SUSQ-5.375-15082022 Susquehanna Bancshares 5.375% 2022-08-01 A- 869099AH4
B-TBPH-3.250-01112023 Theravance Biopharma Inc. 3,250 % 11.01.2023 XXX 88339KAA0
B-TWX-4-15012022 Time Warner Inc. 4.000% 2022-01-01 BBB 887317AN5
B-TWX-6.850-15012026 Time Warner Inc. 6,850 % 01.01.2026 BBB 887315BB4
B-UNP-4.698-02012024 Union Pacific 4,698 % 2024-01-01 AAA 90783SAA0
B-UNP-6.061-17012023 Union Pacific 6,061 % 2023-01-01 AA 90783RAA2
B-UNP-8.0-10012021 Union Pacific 8.000% 01.01.2021 AA 907833AJ6
B-UTX-8.75-01032021 United Technologies Corp 8.750% 01.03.2021 A- 913017AS8
B-UTX-6.7-01082028 United Technologies Corp 6,700 % 01.08.2028 A- 913017AT6
B-VLY-5.125-27092023 Valley National Bancorp 5.125% 01.09.2023 BBB 919794AB3
Kennung B-VRSN-3.25-15082037 VeriSign 3,250 % 2037-08-01 XXX XXXXXX
Kennung B-WMT-4.125-01022019 Wal-Mart Stores Inc. 4.125% 2019-02-01 AA 931142CP6
Kennung B-WMT-3.625-08072020 Wal-Mart Stores Inc. 3,625 % 2020-07-01 AA 931142CU5
Kennung B-WMT-3.25-25102020 Wal-Mart Stores Inc. 3,250 % 01.10.2020 AA 931142CZ4
Kennung B-WMT-4.25-15042021 Wal-Mart Stores Inc. 4,250 % 2021-04-01 AA 931142DD2
B-WMT-5.25-01092035 Wal-Mart Stores Inc. 5,250 % 2035-09-01 AA 931142CB7
B-WMT-6.5-15082037 Wal-Mart Stores Inc. 6.500% 2037-08-01 AA 931142CK7
B-WMT-6.2-15042037 Wal-Mart Stores Inc. 6,200 % 2038-04-01 AA 931142CY7
B-WMT-5.0-25102040 Wal-Mart Stores Inc. 5.000% 2040-10-01 AA 931142CY7
B-WMT-5.625-15042041 Wal-Mart Stores Inc. 5,625 % 2041-04-01 AA 931142DB6
B-WFT-9.875-01032039 Weatherford International Ltd. 9,875 % 2039-03-01 BB- 947075AG2
B-WFC-5.375-02112043 Wells Fargo 5.375% 2043-11-01 A- 94974BFP0
B-WFC-3.5-08032022 Wells Fargo 3,500 % 01.03.2022 A 94974BFC9
B-WFC-2.0-30082021 Wells Fargo 2,000 % 2021-08-01 A 94986RRE3
B-WFC-4.0-18092030 Wells Fargo 4.000% 01.09.2030 A 94986RRK9
B-WFC-5.95-26082036 Wells Fargo 5,950 % 01.08.2036 A 94980VAG3
B-WLP-2.750-15102042 WellPoint 2.750% 2042-10-01 A 94973VBG1
B-WBK-0.836-17012019 Westpac Banking Corporation 0.836% 2019-01-01 XXX XXXXXX
B-WBK-2.25-17012019 Westpac Banking Corporation 2.250% 2019-01-01 BBB+ 961214CF8
B-MWV-7.500-15062027 Westvaco Corp. 7.500% 2027-06-01 BBB 961548AS3
B-MWV-7.650-15062027 Westvaco Corp. 7.650% 2027-06-01 XXX XXXXXX
B-XRX-2.750-09012020 Xerox Corp. 2.750% 01.09.2020 BBB- 984121CK7
B-AZN-7.000-15112023 Zeneca Wilmington Inc. 7,000 % 2023-15-11 XXX 98934KAB6

 


Staatsanleihen

Symbol Unternehmen Rating Fälligkeit
B-T-3.500-15.02.2018 T-Note 3,500 %  15.02.2018
B-T-0.75-31.03.2018 T-Note 0,750 %  31.03.2018
B-T-0.125-15.04.2018 T-Note 0,125%  15.04.2018
B-T-0.625-30.04.2018 T-Note 0.625%   30. Apr. 2018
B-T-2.625-30.04.2018 T-Note 2,625 %   30. Apr. 2018
B-T-9.125-15052018 T-Note 9.125%   15. Mai 2018
B-T-3.875-15052018 T-Note 3,875 %   15. Mai 2018
B-T-1.000-31052018 T-Note 1.000%   31. Mai 2018
B-T-2.250-31072018 T-Note 2.250%   31. Jul. 2018
B-T-4.000-15082018 T-Note 4.000%   15. Aug. 2018
B-T-1,375-30092018 T-Note 1,375 %  30. Sept. 2018
B-T-3.500-15.02.2018 T-Note 3,500 %  15.02.2018
B-T-9,000-15112018 T-Note 9.000%  15. Nov. 2018
B-T-1,375-30112018 T-Note 1,375 %  30. Nov. 2018
B-T-1,500-31012019 T-Note 1.500%  31. Jan. 2019
B-T-8,875-15022019 T-Note 8.875%  15. Feb. 2019
B-T-3.125-15052019 T-Note 3,125 %  15. Mai 2019
B-T-1.250-30042019 T-Note 1.250%   30. Apr. 2019
B-T-1.625-30062019 T-Note 1.625%   30. Jun. 2019
B-T-3.625-15082019 T-Note 3,625 %   15. Aug. 2019
B-T-8.125-15082019 T-Note 8,125 %   15. Aug. 2019
B-T-1.000-30092019 T-Note 1.000%   30. Sep. 2019
B-T-3.375-15112019 T-Note 3.375%   15. Nov. 2019
B-T-2.750-15022019 T-Note 2.750%  15. Feb. 2019
B-T-3.625-15022020 T-Note 3,625 %   15. Feb. 2020
B-T-8.75-15052020 T-Note 8.750%   15. Mai 2020
B-T-3.500-15.05.2020 T-Note 3,500 %   15. Mai 2020
B-T-2.125-30.06.2021 T-Note 2.125%   30. Jun. 2021
B-T-8.125-15.08.2021 T-Note 8,125 %   15. Aug. 2021
B-T-8.000-15.11.2021 T-Note 8.000%   15. Nov. 2021
B-T-2.000-15.11.2021 T-Note 2,000 %   15. Nov. 2021
B-T-1,750-15.05.2022 T-Note 1.750%   15. Mai 2022
B-T-7,625-15.11.2022 T-Note 7,625 %  15. Nov. 2022
B-T-7,125-15.02.2023 T-Note 7.125%  15. Feb. 2023
B-T-6,250-15.08.2023 T-Note 6,250 %  15. Aug. 2023
B-T-2,750-15.11.2023 T-Note 2.750%  15. Nov. 2023
B-T-7.500-15112024 T-Note 7.500%  15. Nov. 2024
B-T-7.625-15022025 T-Note 7,625 %  15. Feb. 2025
B-T-6.875-15082025 T-Note 6,875 %  15. Aug. 2025
B-T-6.000-15022026 T-Note 6,000%  15. Feb. 2026
B-T-6.500-15112026 T-Note 6.500%  15. Nov. 2026
B-T-6,625-15022027 T-Note 6.625%  15. Feb. 2027
B-T-6,375-15082027 T-Note 6.375%  15. Aug. 2027
B-T-6,125-15112027 T-Note 6.125%  15. Nov. 2027
B-T-5,500-15082028 T-Note 5,500 %  15. Aug. 2028
B-T-5,25-15022028 T-Note 5,250 %  15. Nov. 2028
B-T-5.25-15022029 T-Note 5,250 %  15. Feb. 2029
B-T-6.125-15082029 T-Note 6.125%  15. Aug. 2029
B-T-6.250-15052030 T-Note 6,250 %  15. Mai 2030
B-T-5.375-15022031 T-Note 5.375%  15. Feb. 2031
B-T-4.500-15022036 T-Note 4.500%  15. Feb. 2036
B-T-4.750-15022037 T-Note 4.750%  15. Feb. 2037
B-T-5.000-15052037 T-Note 5.000%  15. Mai 2037
B-T-4.375-15022038 T-Note 4,375 %  15. Feb. 2038
B-T-4.500-15052038 T-Note 4.500%  15. Mai 2038
B-T-3.500-15022039 T-Note 3,500 %  15. Feb. 2039
B-T-4.250-15052039 T-Note 4,250 %  15. Mai 2039
B-T-4.375-15112039 T-Note 4,375 %  15. Nov. 2039
B-T-4.625-15022040 T-Note 4.625%  15. Feb. 2040
B-T-4.375-15052040 T-Note 4,375 %  15. Mai 2040
B-T-3.875-15082040 T-Note 3,875 %  15. Aug. 2040
B-T-4.250-15112040 T-Note 4,250 %  15. Nov. 2040
B-T-4.750-15022041 T-Note 4.750%  15. Feb. 2041
B-T-4.375-15052014 T-Note 4,375 %  15. Mai 2041
B-T-3.750-15082041 T-Note 3,750 %  15. Aug. 2041
B-T-3.125-15022042 T-Note 3,125 %  15. Feb. 2042
B-T-2,75-15082042 T-Note 2.750%  15. Aug. 2042
B-T-3,125-15022043 T-Note 3,125 %  15. Feb. 2043
B-T-3,625-15082043 T-Note 3,625 %   15-Aug-2043
B-T-3,750-15112043 T-Note 3,750 %   15-Nov-2043
B-T-1,375-15022044 T-Note 1,375 %   15-Feb-2044
B-T-3.625-15022044 T-Note 3,625 %   15-Feb-2044