PriceTodayWeekMonth6 monthsYear5 years
USD to EUR-------
JPY to EUR-------
GBP to EUR-------
CHF to EUR-------
AUD to EUR-------
CNY to EUR-------
SymbolYieldYield change 1 dayPricePrice change 1 dayTerm to maturityMaturity date
NL06MY6 months
- -
- PCTPAR
-
6 monthsJul 30, 2025
NL02Y2 years
- -
- PCTPAR
-
2 yearsJan 15, 2027
NL05Y5 years
- -
- PCTPAR
-
5 yearsJan 15, 2030
NL10Y10 years
- -
- PCTPAR
-
10 yearsJul 15, 2034
NL20Y20 years
- -
- PCTPAR
-
20 yearsJan 15, 2044
NL30Y30 years
- -
- PCTPAR
-
30 yearsJan 15, 2054
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
B
BRAS.NL FIN. 23/33 144A
US10554TAG0
8.90%
Feb 13, 2033
F
FBN FIN. 20/25 REGS
XS224373368
8.77%
Oct 27, 2025
P
PETROBR.G.F. 21/51
US71647NBJ7
8.23%
Jun 10, 2051
Z
Ziggo Bond Co. BV 5.125% 28-FEB-2030
ZIGGF4947712
8.19%
Feb 28, 2030
G
GREENKO DUTCH 21/26 144A
US39530LAD2
7.97%
Mar 29, 2026
Prosus N.V. 3.832% 08-FEB-2051
NPSN5089826
7.86%
Feb 8, 2051
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
J
JAB HOLDINGS 21/51 144A
US46653KAB4
7.75%
May 28, 2051
P
PETROBRAS GBL FIN.15/2115
5P0E
7.72%
Jun 5, 2115
Prosus N.V. 4.027% 03-AUG-2050
NPSN5021853
7.72%
Aug 3, 2050
V
VeonHld 3.375% 27
XS2824766146
7.59%
Nov 25, 2027
P
PETROBR.G.F. 20/50
US71647NBG3
7.58%
Jun 3, 2050
V
VZ Secured Financing BV 5.0% 15-JAN-2032
VOD5335698
7.52%
Jan 15, 2032