| Emittente | Tipo | Scadenza | Rendimento lordo % | Titolo | Val. | Cedola | ISIN | Rating | Rendimento netto % | Duration | Azioni |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Italia | BTP | 01/09/2043 | 4,77% | Btp Tf 4,45% St43 Eur | EUR | SI | IT0005530032 | BBB+ | 4,17% | 12,0 anni | |
| Italia | BTP | 01/03/2041 | 4,67% | Btp Tf 1,8% Mz41 Eur | EUR | SI | IT0005421703 | BBB+ | 4,09% | 12,4 anni | |
| Italia | BTP | 01/10/2040 | 4,65% | Btp Fx 3.85% Oct40 Eur | EUR | SI | IT0005635583 | BBB+ | 4,07% | 10,6 anni | |
| Italia | BTP | 01/09/2040 | 4,60% | Btp-1st40 5% | EUR | SI | IT0004532559 | BBB+ | 4,02% | 10,3 anni | |
| Italia | BTP | 01/03/2040 | 4,57% | Btp Tf 3,1% Mz40 Eur | EUR | SI | IT0005377152 | BBB+ | 4,00% | 10,9 anni | |
| Italia | BTP | 01/08/2039 | 4,56% | Btp-1ag39 5% | EUR | SI | IT0004286966 | BBB+ | 3,99% | 9,7 anni | |
| Germania | BUND | 04/07/2042 | 3,76% | Bund Lg42 Eur 3,25 | EUR | SI | DE0001135432 | AAA | 3,29% | 12,4 anni | |
| 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 | 15/05/2043 | 5,39% | Usa -T-Bond 2.875% 15mg43 | USD | SI | US912810RB61 | AA+ | 4,72% | 12,5 anni | |
| USA | TBOND | 15/08/2043 | 5,39% | Usa -T-Bond 3.625% 15ag43 | USD | SI | US912810RC45 | AA+ | 4,72% | 12,2 anni | |
| USA | TBOND | 15/02/2043 | 5,38% | Usa -T-Bond 3.125% 15fb43 | USD | SI | US912810QZ49 | AA+ | 4,71% | 12,3 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 | 15/08/2043 | 5,37% | T-Bond Usa Fx 4.375% Aug43 Usd | USD | SI | US912810TU25 | AA+ | 4,70% | 11,8 anni | |
| USA | TBOND | 15/02/2043 | 5,36% | Usa Tf 3,875% Fb43 Usd | USD | SI | US912810TQ13 | AA+ | 4,69% | 11,8 anni | |
| USA | TBOND | 15/11/2042 | 5,34% | Usa Tf 4% Nv42 Usd | USD | SI | US912810TM09 | AA+ | 4,67% | 11,5 anni | |
| USA | TBOND | 15/11/2041 | 5,33% | Usa Tf 2% Nv41 Usd | USD | SI | US912810TC27 | AA+ | 4,66% | 12,4 anni | |
| USA | TBOND | 15/02/2042 | 5,33% | Usa Tf 2,375% Fb42 Usd | USD | SI | US912810TF57 | AA+ | 4,66% | 12,4 anni | |
| USA | TBOND | 15/05/2042 | 5,33% | Usa Tf 3,25% Mg42 Usd | USD | SI | US912810TH14 | AA+ | 4,66% | 11,7 anni | |
| USA | TBOND | 15/08/2041 | 5,31% | Usa Tf 1,75% Ag41 Usd | USD | SI | US912810TA60 | AA+ | 4,65% | 12,6 anni | |
| USA | TBOND | 15/02/2042 | 5,31% | Usa T-Bond Tf 3,125% Fb42 Usd | USD | SI | US912810QU51 | AA+ | 4,65% | 11,8 anni |
| Emittente | Tipo | Scadenza | Rendimento lordo % | Titolo | Val. | Cedola | ISIN | Rating | Rendimento netto % | Duration | Azioni |
|---|---|---|---|---|---|---|---|---|---|---|---|
| USA | TBOND | 15/05/2041 | 5,29% | Usa Tf 2,25% Mg41 Usd | USD | SI | US912810SY55 | AA+ | 4,63% | 11,9 anni | |
| USA | TBOND | 15/02/2041 | 5,21% | Usa T-Bond Tf 4,75% Fb41 Usd | USD | SI | US912810QN19 | AA+ | 4,56% | 10,5 anni | |
| USA | TBOND | 15/11/2040 | 5,20% | T-Bond Usa Fx 4.25% Nov40 Usd | USD | SI | US912810QL52 | AA+ | 4,55% | 10,4 anni | |
| USA | TBOND | 15/08/2040 | 5,19% | Usa T-Bond Tf 3,875% Ag40 Usd | USD | SI | US912810QK79 | AA+ | 4,54% | 10,6 anni | |
| USA | TBOND | 15/05/2040 | 5,17% | T-Bond Usa Fx 4.375% May40 Usd | USD | SI | US912810QH41 | AA+ | 4,52% | 10,1 anni | |
| USA | TBOND | 15/02/2040 | 5,15% | Usa -T-Bond 4.625% 15fb40 | USD | SI | US912810QE10 | AA+ | 4,51% | 10,0 anni | |
| USA | TBOND | 15/11/2039 | 5,13% | Usa Tf 4,375% Nv39 Usd | USD | SI | US912810QD37 | AA+ | 4,49% | 9,9 anni | |
| USA | TBOND | 15/05/2039 | 5,09% | T-Bond Usa Fx 4.25% May39 Usd | USD | SI | US912810QB70 | AA+ | 4,45% | 9,6 anni |