1 | nominaal prijs datum inloggen | | | | | | | 76 | 3.83% |
2 | prijs datum inloggen registreer | | | | | | | 60 | 3.03% |
3 | ecb eligible n bondcoupon | | | | | | | 53 | 2.67% |
4 | lating nominaal prijs datum | | | | | | | 52 | 2.62% |
5 | registreer lating nominaal prijs | | | | | | | 50 | 2.52% |
6 | actact next cpn date | | | | | | | 48 | 2.42% |
7 | eligible n bondcoupon coupon | | | | | | | 44 | 2.22% |
8 | calculation actact next cpn | | | | | | | 44 | 2.22% |
9 | inloggen registreer lating nominaal | | | | | | | 44 | 2.22% |
10 | bps bieding nominaal prijs | | | | | | | 39 | 1.97% |
11 | secured ecb eligible n | | | | | | | 39 | 1.97% |
12 | n bondcoupon coupon type | | | | | | | 36 | 1.82% |
13 | datum inloggen registreer lating | | | | | | | 35 | 1.77% |
14 | minimum 100000 increment 1000 | | | | | | | 35 | 1.77% |
15 | bieding nominaal prijs datum | | | | | | | 33 | 1.66% |
16 | bond type next call | | | | | | | 33 | 1.66% |
17 | unsecured ecb eligible n | | | | | | | 33 | 1.66% |
18 | 100000 increment 1000 exchange | | | | | | | 29 | 1.46% |
19 | type next call date | | | | | | | 28 | 1.41% |
20 | sr unsecured ecb eligible | | | | | | | 27 | 1.36% |
21 | ranking sr unsecured ecb | | | | | | | 26 | 1.31% |
22 | bondcoupon coupon type fixed | | | | | | | 25 | 1.26% |
23 | fixed calculation actact next | | | | | | | 24 | 1.21% |
24 | datum inloggen registreer eur | | | | | | | 21 | 1.06% |
25 | coupon type fixed calculation | | | | | | | 21 | 1.06% |
26 | type fixed calculation actact | | | | | | | 20 | 1.01% |
27 | exchange luxembourg ratings sp | | | | | | | 15 | 0.76% |
28 | date issuancetrading issue date | | | | | | | 15 | 0.76% |
29 | 100000 increment 100000 exchange | | | | | | | 13 | 0.66% |
30 | 1000 exchange luxembourg ratings | | | | | | | 13 | 0.66% |
31 | ratings sp a moodys | | | | | | | 13 | 0.66% |
32 | cpn date 11062025 bond | | | | | | | 12 | 0.61% |
33 | call date issuancetrading issue | | | | | | | 12 | 0.61% |
34 | increment 1000 exchange luxembourg | | | | | | | 12 | 0.61% |
35 | date 11062025 bond type | | | | | | | 12 | 0.61% |
36 | sector financial ranking sr | | | | | | | 11 | 0.55% |
37 | issue date 11062024 issue | | | | | | | 11 | 0.55% |
38 | date 11062024 issue size | | | | | | | 11 | 0.55% |
39 | next cpn date 11062025 | | | | | | | 11 | 0.55% |
40 | issuancetrading issue date 11062024 | | | | | | | 11 | 0.55% |