Vorvel Bonds |
Banking Branded bonds with LP |
IT0005482549 |
BANCO DESIO S/UP 01/03/2027 |
01/03/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
1.40 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005532491 |
BANCO DESIO S/UP 01/03/2028 |
01/03/2028 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005421877 |
BANCO DESIO S/UP 01/10/2025 |
01/10/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
0.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005493280 |
BANCO DESIO S/UP 02/05/2027 |
02/05/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
2.50 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005423220 |
BANCO DESIO S/UP 06/11/2025 |
06/11/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
0.60 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005495830 |
BANCO DESIO S/UP 10/06/2027 |
10/06/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
2.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005444713 |
BANCO DESIO S/UP 16/06/2026 |
16/06/2026 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
1.25 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005549495 |
BANCO DESIO S/UP 20/07/2026 |
20/07/2026 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005562118 |
BANCO DESIO S/UP 20/10/2025 |
20/10/2025 |
EUR |
Mixed Rate |
Mixed Rate |
3M |
4.00 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005562126 |
BANCO DESIO S/UP 20/10/2027 |
20/10/2027 |
EUR |
Mixed Rate |
Mixed Rate |
3M |
4.00 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005541450 |
BANCO DESIO S/UP 24/04/2028 |
24/04/2028 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
4.00 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005499501 |
BANCO DESIO S/UP 25/07/2027 |
25/07/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005543829 |
BANCO DESIO S/UP 26/05/2026 |
26/05/2026 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.80 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005508202 |
BANCO DESIO S/UP 26/09/2027 |
26/09/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.75 |
Vorvel Bonds |
Banking Branded bonds with LP |
IT0005568792 |
BANCO DESIO S/UP 27/05/2027 |
27/05/2027 |
EUR |
Mixed Rate |
Mixed Rate |
3M |
4.00 |
Vorvel Bonds |
Bonds without LP |
IT0005138109 |
BANCO FIORENTINO 3,00% 05/10/30 |
05/10/2030 |
EUR |
Fixed rate |
Fixed rate |
6M |
3.00 |
Vorvel Bonds |
Banking bonds |
XS0134886067 |
BARCLAYS 5,75% 14/09/2026 GBP |
14/09/2026 |
GBP |
Fixed rate |
Fixed rate |
1Y |
5.75 |
Vorvel Bonds |
Corporate bonds |
XS1823502650 |
BASF SE 0,875% 22/05/2025 |
22/05/2025 |
EUR |
Fixed rate |
Fixed rate |
1Y |
0.88 |
Vorvel Bonds |
Bonds without LP |
IT0005120214 |
BCA ALTA TOSCANA TV 01/7/30 330a |
01/07/2030 |
EUR |
Floating rate |
Floating rate |
6M |
4.00 |
Vorvel Bonds |
Bonds without LP |
IT0004759731 |
BCA IMOLA 4,14% 25/08/31 272a |
25/08/2031 |
EUR |
Fixed rate |
Fixed rate |
1Y |
4.14 |
Vorvel Bonds |
Bonds without LP |
IT0003806517 |
BCA IMOLA ZC 01/02/35 152a |
01/02/2035 |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Bonds |
Banking bonds |
XS1694763142 |
BCA POP AD TM 6/10/27 SUB CALL |
06/10/2027 |
EUR |
Mixed Rate |
Mixed Rate |
1Y |
|
Vorvel Equity Auction |
Equity |
IT0001040820 |
BCA POP DEL FRUSINATE AZIONI ORD |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Equity Auction |
Equity |
IT0001069860 |
BCA POP PUGLIA BASILICATA AZ ORD |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Equity Auction |
Equity |
IT0000300712 |
BCA POP SETTE COMUNI |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Equities (Shares) |
Azioni italiane |
IT0000784196 |
BCA POP SONDRIO |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Equity Auction |
Equity |
IT0000082583 |
BCA POP. SANT'ANGELO AZIONI ORD. |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Equity Auction |
Equity |
IT0000220514 |
BCA POPOLARE DI BARI AZIONI ORD. |
- |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Bonds |
Bonds without LP |
IT0005215089 |
BCA SATURNIA S/UP 14/09/26 65a |
14/09/2026 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.00 |
Vorvel Bonds |
Bonds without LP |
IT0005346967 |
BCC CRAS TM 08/10/2025 15a |
08/10/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
2.59 |
Vorvel Bonds |
Bonds without LP |
IT0005332116 |
BCC CRAS TM 10/05/25 8a FGO |
10/05/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.20 |
Vorvel Bonds |
Bonds without LP |
IT0005336844 |
BCC CRAS TM 18/06/25 12a |
18/06/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.00 |
Vorvel Bonds |
Bonds without LP |
IT0005355711 |
BCC CRAS TM 20/12/2025 18a |
20/12/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.00 |
Vorvel Bonds |
Bonds without LP |
IT0005321614 |
BCC CRAS TM 26/01/28 4a FGO |
26/01/2028 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
2.92 |
Vorvel Bonds |
Bonds without LP |
IT0005256042 |
BCC LAUDENSE 2,58% 26/05/27 FGO |
26/05/2027 |
EUR |
Fixed rate |
Fixed rate |
6M |
2.58 |
Vorvel Bonds |
Bonds without LP |
IT0004712946 |
BCC LAUDENSE 5,05% 11/04/26 FGO |
11/04/2026 |
EUR |
Fixed rate |
Fixed rate |
6M |
5.05 |
Vorvel Bonds |
Bonds without LP |
IT0004680036 |
BCC LAUDENSE 5,05% 20/01/26 |
20/01/2026 |
EUR |
Fixed rate |
Fixed rate |
6M |
5.05 |
Vorvel Bonds |
Bonds without LP |
IT0005247322 |
BCC LAUDENSE S/UP 03/04/27 FGO |
03/04/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.75 |
Vorvel Bonds |
Bonds without LP |
IT0005256034 |
BCC LAUDENSE S/UP 26/05/27 FGO |
26/05/2027 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
3.40 |
Vorvel Bonds |
Bonds without LP |
IT0005126252 |
BCC PACHINO 2,50% 26/10/25 |
26/10/2025 |
EUR |
Fixed rate |
Fixed rate |
6M |
2.50 |
Vorvel Bonds |
Bonds without LP |
IT0005144206 |
BCC PESCIA S/UP 3/12/25 188a FGO |
03/12/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
4.00 |
Vorvel Bonds |
Bonds without LP |
IT0003925853 |
BCC PISTOIA ZC PUT 17/10/30 38a |
17/10/2030 |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Bonds |
Bonds without LP |
IT0003994446 |
BCC PISTOIA ZC PUT 31/1/31 45a |
31/01/2031 |
EUR |
Zero Coupon |
Zero Coupon |
- |
|
Vorvel Bonds |
Bonds without LP |
IT0005143679 |
BCC PONTASSIEVE 2,3% 16/11/25 7a |
16/11/2025 |
EUR |
Fixed rate |
Fixed rate |
6M |
2.30 |
Vorvel Bonds |
Bonds without LP |
IT0005158263 |
BCC PONTASSIEVE 2,3%31/10/25 10a |
31/10/2025 |
EUR |
Fixed rate |
Fixed rate |
6M |
2.30 |
Vorvel Bonds |
Bonds without LP |
IT0005314700 |
BCC RAV-FO-IM S/UP 01/06/25 723a |
01/06/2025 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
2.25 |
Vorvel Bonds |
Bonds without LP |
IT0005177370 |
BCC SATURNIA S/UP 26/04/26 62a |
26/04/2026 |
EUR |
Mixed Rate |
Mixed Rate |
6M |
4.00 |
Vorvel Bonds |
Banking bonds |
XS2013745703 |
BCO BILBAO GREEN 1,00% 21/06/26 |
21/06/2026 |
EUR |
Fixed rate |
Fixed rate |
1Y |
1.00 |
Vorvel Bonds |
Bonds without LP |
IT0005215758 |
BCP 3,00% 13/10/2025 TREM |
13/10/2025 |
EUR |
Fixed rate |
Fixed rate |
6M |
3.00 |
Vorvel Bonds |
Bonds without LP |
IT0005187569 |
BCP 3,25% 09/06/2025 TREM |
09/06/2025 |
EUR |
Fixed rate |
Fixed rate |
6M |
3.25 |