Third-party bonds
Issuances
YEAR | ISIN | OFFER |
2023 | IT0005521171 | ENI S.p.A. - Sustainability-linked bond 2023/2028 |
Past Issuances
YEAR | ISIN | OFFER |
2022 | XS2110112971 | Citigroup Inc. - EUR Fixed Rate Notes due December 2025 |
2022 | XS2533094400 | MEDIOBANCA - Banca di credito finanziario S.p.A. - EUR Fixed Rate Notes due October 2026 |
2021 | XS1273452877 | Citigroup Inc. - USD Fixed Step Up Rate Notes due June 2028 |
2021 | IT0005436875 | Mediobanca - Banca di Credito Finanziario S.p.A. - USD Tasso Fisso Step Up con scadenza Aprile 2028 |
2019 | XS2056488013 | Toyota Motor Credit Corporation (TMCC) - USD Fixed Step Up Rate Notes due October 2026 |
2019 | XS2045001935 | Citigroup Global Markets Holding Inc. - USD Fixed Step Up Rate Notes due September 2025 |
2019 | XS2039030908 | Mediobanca - Banca di Credito Finanziario S.p.A. - USD Fixed Step Up Rate Notes due September 2023 |
2019 | IT0005374043 | Cassa depositi e prestiti S.p.A. - Obbligazioni a Tasso Misto in EURO 2019-2026 |
2019 | XS1928480166 | Mediobanca - Banca di Credito Finanziario S.p.A. - EUR Fixed Step Up Rate Notes due January 2024 |
2019 | XS1928480752 | Mediobanca - Banca di Credito Finanziario S.p.A. - EUR Floored Floating Rate Notes due January 2024 |
2018 | XS1885506813 | Toyota Motor Credit Corporation (TMCC) - USD Fixed Step Up Rate Notes due October 2025 |
2018 | XS1876165819 | HSBC Bank Plc - USD Fixed Step Up to Floating Rate Notes due September 2024 |
2018 | XS1844094885 | Mediobanca - Banca di Credito Finanziario S.p.A. - USD Fixed Step Up Rate Notes due July 2024 |
2018 | XS1762729538 | Citigroup Global Markets Holding Inc. - USD Fixed Step Up Rate Notes due September 2025 |
2018 | XS1610693290 | The Goldman Sachs Group, Inc. - USD Fixed Step Up Rate Notes due May 2024 |
2018 | XS1782625641 | Mediobanca International (Lussemburgo) S.A. - USD Fixed Step Up Rate Notes due March 2024 |