Obbligazioni Intesa Sanpaolo


Rendimenti obbligazioni Intesa Sanpaolo in tempo reale, rimani aggiornato sulle nuove emissioni e consulta tutti i dati rilevanti per ogni buon investitore come la cedola netta, il rendimento netto e la duration

Ordina a piacere in ordine decrescente o crescente per quasiasi valore la lista qui sotto, quindi clicca sul codice ISIN se vuoi conoscere maggiori dettagli sul titolo.

Ultimo aggiornamento dati: 9 dicembre 2022

ISIN Nome scadenza durata tasso Cedola netta prezzo Rendimento netto Duration
XS0971213201 » Isp 6.625% Sub 13st23 2023-09-13 0.83 6.63% 4.79% 102,30 2.10% 0.86
XS1958656552 » Intsanpaolo Fix To Cms Call Sub 04mz29 2029-03-04 6.33 5.88% 4.32% 100,63 5.85% 1.06
XS2545759099 » Intsanpaolo Social Bond 5,25% Ge30 Eur 2030-01-13 7.17 5.25% 3.85% 100,82 3.72% 5.92
XS2482615957 » Intsanpaolo Tf 4,5% Mg29 Usd 2029-05-25 6.50 4.50% 3.72% 89,60 5.16% 5.27
XS2026295126 » Intsanpaolo Fix To Cms Call Sub 12lg29 2029-07-12 6.67 4.38% 3.28% 98,85 5.26% 1.26
XS2499922834 » Intsanpaolo Tf 4,3% Lg24 Usd 2024-07-13 1.67 4.30% 3.29% 96,75 5.12% 1.59
XS0986194883 » Isp 4% 30ot23 2023-10-30 0.92 4.00% 2.93% 100,87 2.08% 0.95
XS2482611378 » Intsanpaolo Tf 4% Mg25 Usd 2025-05-25 2.50 4.00% 3.13% 94,67 5.16% 2.23
XS1109765005 » Isp 3.928% Sub 15st26 2026-09-15 3.83 3.93% 2.97% 97,99 3.46% 3.57
XS1222597905 » Isp 2.855% Sub 23ap25 2025-04-23 2.42 2.86% 2.16% 97,80 3.02% 2.28
XS1278720237 » Isp 2.697% 25ag25 2025-08-25 2.75 2.70% 2.08% 96,04 3.51% 2.63
XS2015314037 » Intsanpaolo 2.625% 20gn24 2024-06-20 1.58 2.63% 1.97% 98,62 2.83% 1.46
XS2102388597 » Isp 2.50% 15ge30 2030-01-15 7.17 2.50% 2.51% 73,82 6.55% 6.05
XS1577427872 » Isp-Tv 14mz23 2023-03-15 0.33 2.37% 1.75% 100,28 1.41% 0.18
XS2179037697 » Isp 2.125% 26mg25 2025-05-26 2.50 2.13% 1.64% 95,65 3.44% 2.45
XS1873219304 » Isp 2.125% 30ag23 2023-08-30 0.75 2.13% 1.58% 99,39 2.38% 0.77
XS2022424993 » Isp 1.75% 04lg29 2029-07-04 6.67 1.75% 1.54% 83,87 4.04% 6.04
XS1807182495 » Intsanpaolo 1.75% 12ap23 2023-04-12 0.42 1.75% 1.30% 99,71 1.98% 0.35
XS1785340172 » Isp 1.75% 20mz28 2028-03-20 5.33 1.75% 1.49% 86,88 4.02% 4.80
XS2067213913 » Intsanpaolo 1.625% 21ap25 2025-04-21 2.42 1.63% 1.28% 94,13 3.66% 2.37
XS1979446843 » Intsanpaolo Green Bond 1.50% 10ap24 2024-04-10 1.42 1.50% 1.13% 98,09 2.42% 1.35
XS1551306951 » Isp 1.375% 18ge24 2024-01-18 1.17 1.38% 1.04% 97,90 2.87% 1.11
XS2022425297 » Isp 1% 04lg24 2024-07-04 1.67 1.00% 0.77% 95,88 3.27% 1.68
XS2081018629 » Isp 1.00% 19nv26 2026-11-19 4.00 1.00% 0.84% 88,43 3.81% 3.86
XS2317069685 » Isp Green Bond 0.75% 16mz28 2028-03-16 5.33 0.75% 0.67% 82,85 4.26% 5.00
XS2089368596 » Isp Sustainable Bond 0.75% 04dc24 2024-12-04 2.08 0.75% 0.58% 95,00 3.15% 1.96
XS1699951767 » Intsanpaolo 0.75% 17ot22 2022-10-17 0.00 0.75% 0.55% 100,09 0.00% 0.00
XS2065690005 » Isp-Tv 14ot22 2022-10-14 0.00 0.64% 0.48% 100,01 0.00% 0.00