| Emittente | Tipo | Scadenza | Rendimento lordo % | Titolo | Val. | Cedola | ISIN | Rating | Rendimento netto % | Duration | Azioni |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Italia | BTP | 01/09/2049 | 4,90% | Btp Tf 3,85% St49 Eur | EUR | SI | IT0005363111 | BBB+ | 4,29% | 14,8 anni | |
| Italia | BTP | 01/03/2048 | 4,87% | Btp Tf 3,45% Mz48 Eur | EUR | SI | IT0005273013 | BBB+ | 4,26% | 14,5 anni | |
| Italia | BTP | 01/09/2046 | 4,86% | Btp Tf 3,25% St46 Eur | EUR | SI | IT0005083057 | BBB+ | 4,25% | 14,1 anni | |
| Italia | BTP | 01/03/2047 | 4,86% | Btp Tf 2,7% Mz47 Eur | EUR | SI | IT0005162828 | BBB+ | 4,25% | 14,9 anni | |
| Italia | BTP | 01/09/2044 | 4,78% | Btp Tf 4,75% St44 Eur | EUR | SI | IT0004923998 | BBB+ | 4,18% | 12,3 anni | |
| Germania | BUND | 15/08/2048 | 3,88% | Bund Tf 1,25% Ag48 Eur | EUR | SI | DE0001102432 | AAA | 3,40% | 18,4 anni | |
| Germania | BUND | 15/08/2046 | 3,84% | Bund Tf 2,50% Ag46 Eur | EUR | SI | DE0001102341 | AAA | 3,36% | 15,4 anni | |
| USA | TBOND | 15/08/2049 | 5,51% | Usa T-Bond Tf 2,25% Ag49 Usd | USD | SI | US912810SJ88 | AA+ | 4,82% | 16,1 anni | |
| USA | TBOND | 15/05/2046 | 5,48% | Usa T-Bond Tf 2,5% Mg46 Usd | USD | SI | US912810RS96 | AA+ | 4,79% | 14,3 anni | |
| USA | TBOND | 15/11/2046 | 5,48% | Usa Tf 2,875% Nv46 Usd | USD | SI | US912810RU43 | AA+ | 4,79% | 14,1 anni | |
| USA | TBOND | 15/05/2047 | 5,48% | Usa T-Bond Tf 3% Mg47 Usd | USD | SI | US912810RX81 | AA+ | 4,79% | 14,1 anni | |
| USA | TBOND | 15/11/2048 | 5,48% | Usa T-Bond Tf 3,375% Nv48 Usd | USD | SI | US912810SE91 | AA+ | 4,79% | 14,3 anni | |
| USA | TBOND | 15/02/2045 | 5,46% | Usa -T-Bond 2.5% 15fb45 | USD | SI | US912810RK60 | AA+ | 4,78% | 13,8 anni | |
| USA | TBOND | 15/08/2045 | 5,46% | Usa T-Bond Tf 2,875% Ag45 Usd | USD | SI | US912810RN00 | AA+ | 4,78% | 13,7 anni | |
| USA | TBOND | 15/05/2045 | 5,45% | Usa -T-Bond 3% 15mg45 | USD | SI | US912810RM27 | AA+ | 4,77% | 13,3 anni | |
| USA | TBOND | 15/11/2044 | 5,44% | Usa -T-Bond 3% 15nv44 | USD | SI | US912810RJ97 | AA+ | 4,76% | 13,1 anni | |
| USA | TBOND | 15/08/2044 | 5,43% | Usa -T-Bond 3.125% 15ag44 | USD | SI | US912810RH32 | AA+ | 4,75% | 13,0 anni | |
| USA | TBOND | 15/05/2046 | 5,43% | Usa Fx 5% May46 Usd | USD | SI | US912810UV88 | AA+ | 4,75% | 12,3 anni | |
| USA | TBOND | 15/05/2044 | 5,42% | Usa -T-Bond 3.375% 15mg44 | USD | SI | US912810RG58 | AA+ | 4,74% | 12,6 anni | |
| USA | TBOND | 15/02/2045 | 5,42% | Usa Fx 4.75% Feb45 Usd | USD | SI | US912810UJ50 | AA+ | 4,74% | 12,2 anni |
| Emittente | Tipo | Scadenza | Rendimento lordo % | Titolo | Val. | Cedola | ISIN | Rating | Rendimento netto % | Duration | Azioni |
|---|---|---|---|---|---|---|---|---|---|---|---|
| USA | TBOND | 15/02/2044 | 5,41% | Usa T-Bond Tf 3,625% Fb44 Usd | USD | SI | US912810RE01 | AA+ | 4,73% | 12,4 anni | |
| USA | TBOND | 15/05/2045 | 5,41% | Usa Fx 5% May45 Usd | USD | SI | US912810UL07 | AA+ | 4,73% | 12,0 anni | |
| USA | TBOND | 15/11/2043 | 5,38% | T-Bond Usa Fx 3.75% Nov43 Usd | USD | SI | US912810RD28 | AA+ | 4,71% | 12,1 anni | |
| USA | TBOND | 15/05/2044 | 5,37% | T-Bond Usa Fx 4.625% May44 Usd | USD | SI | US912810UB25 | AA+ | 4,70% | 11,8 anni |