Symbol | YTM % | Volumen | Preis % | Coupon % | Verfallsdatum | Ausstehend | Nennwert | Min. Anlagebetrag | Emittent |
---|---|---|---|---|---|---|---|---|---|
RREG4803517REGENCY CENTERS, L.P. 4.65% 15-MAR-2049 | 5,64% | 200 K | 85,66% | 4,65% | 2049-03-15 | 300 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4445814REGENCY CENTERS, L.P. 4.4% 01-FEB-2047 | 5,60% | 26 K | 83,54% | 4,40% | 2047-02-01 | 425 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG5730748REGENCY CENTERS, L.P. 5.25% 15-JAN-2034 | 5,21% | 816 K | 100,33% | 5,25% | 2034-01-15 | 400 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4986710REGENCY CENTERS, L.P. 3.7% 15-JUN-2030 | 4,92% | 1,88 M | 94,02% | 3,70% | 2030-06-15 | 600 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4606488REGENCY CENTERS, L.P. 4.125% 15-MAR-2028 | 4,92% | 5 K | 97,57% | 4,13% | 2028-03-15 | 300 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4277681REGENCY CENTERS, L.P. 3.9% 01-NOV-2025 | 4,82% | 3,02 M | 99,10% | 3,90% | 2025-11-01 | 250 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4445813REGENCY CENTERS, L.P. 3.6% 01-FEB-2027 | 4,80% | 5,04 M | 97,48% | 3,60% | 2027-02-01 | 525 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |
RREG4871905REGENCY CENTERS, L.P. 2.95% 15-SEP-2029 | 4,80% | 10 K | 91,99% | 2,95% | 2029-09-15 | 425 M USD | 1.000,00 USD | 2.000,00 USD | Regency Centers LP |