Stamdata

Active issues registered in Stamdata

1472 active issues registered in this market.

ISIN Ticker Name Org.nr. Type Issue Maturity
XS2319950130 XS2319950130 Ahlstrom-Munksjö Holding 3 21/28 3,625% 3156762-4 Bond 19/03/2021 04/02/2028
XS2319950726 Ahlstrom-Munksjö Holding 3 21/28 3,625% 3156762-4 Bond 19/03/2021 04/02/2028
XS1958616176 XS1958616176 Aktia Bank Abp 19/26 ADJ C COVD 2181702-8 Bond 05/03/2019 05/03/2026
XS1983384949 XS1983384949 Aktia Bank Abp 19/29 1,16% 2181702-8 Bond 17/04/2019 15/06/2029
XS1984207867 XS1984207867 Aktia Bank Abp 19/32 1,535% 2181702-8 Bond 18/04/2019 19/04/2032
XS2270300036 XS2270300036 Aktia Bank Abp 20/25 0,101% 2181702-8 Bond 09/12/2020 09/12/2025
XS2244904533 XS2244904533 Aktia Bank Abp 20/25 0,70% SEK 2181702-8 Bond 20/10/2020 20/10/2025
XS2229019109 XS2229019109 Aktia Bank Abp 20/25 FRN SEK 2181702-8 Bond 10/09/2020 10/09/2025
XS2230280047 Aktia Bank Abp 20/25 FRN SEK 2181702-8 Bond 14/09/2020 10/09/2025
XS2244916628 XS2244916628 Aktia Bank Abp 20/26 0,17% 2181702-8 Bond 19/10/2020 19/10/2026
XS2263647062 XS2263647062 Aktia Bank Abp 20/27 0,28% 2181702-8 Bond 24/11/2020 24/11/2027
XS2258002190 XS2258002190 Aktia Bank Abp 20/28 0,275% 2181702-8 Bond 13/11/2020 11/01/2028
XS2265990536 XS2265990536 Aktia Bank Abp 20/30 0,43% 2181702-8 Bond 02/12/2020 02/12/2030
XS2225430706 XS2225430706 Aktia Bank Abp 20/30 1,87% NOK 2181702-8 Bond 02/09/2020 02/09/2030
XS2243623662 XS2243623662 Aktia Bank Abp 20/35 0,635% 2181702-8 Bond 16/10/2020 16/10/2035
XS2102293888 XS2102293888 Aktia Bank Abp 20/35 0,99% 2181702-8 Bond 15/01/2020 15/01/2035
XS2223171260 XS2223171260 Aktia Bank Abp 20/36 0,80% 2181702-8 Bond 26/08/2020 26/02/2036
XS2275634942 XS2275634942 Aktia Bank Abp 20/40 0,85% C 2181702-8 Bond 21/12/2020 21/12/2040
XS2270389773 Aktia Bank Abp 20/40 0,96% 2181702-8 Bond 11/12/2020 11/12/2040
XS2422536552 XS2422536552 Aktia Bank Abp 21/25 ADJ C COVD 2181702-8 Bond 16/12/2021 27/03/2025
XS2308737985 XS2308737985 Aktia Bank Abp 21/26 0,05% 2181702-8 Bond 04/03/2021 04/03/2026
XS2399231948 XS2399231948 Aktia Bank Abp 21/26 0,25% 2181702-8 Bond 15/10/2021 15/10/2026
XS2399684575 XS2399684575 Aktia Bank Abp 21/26 0,25% 2181702-8 Bond 18/10/2021 18/10/2026
XS2417407652 XS2417407652 Aktia Bank Abp 21/26 0,4025% 2181702-8 Bond 08/12/2021 08/12/2026
XS2287900364 XS2287900364 Aktia Bank Abp 21/28 0,14% 2181702-8 Bond 18/01/2021 18/01/2028
XS2320764298 XS2320764298 Aktia Bank Abp 21/28 0,25% 2181702-8 Bond 22/03/2021 22/03/2028
XS2322425823 XS2322425823 Aktia Bank Abp 21/28 0,25% 2181702-8 Bond 30/03/2021 30/03/2028
XS2322426805 XS2322426805 Aktia Bank Abp 21/31 0,50% 2181702-8 Bond 31/03/2021 31/03/2031
XS2318720195 XS2318720195 Aktia Bank Abp 21/31 0,55% 2181702-8 Bond 17/03/2021 17/03/2031
XS2342997942 XS2342997942 Aktia Bank Abp 21/31 2,32% NOK 2181702-8 Bond 20/05/2021 20/05/2031
XS2417413114 XS2417413114 Aktia Bank Abp 21/31 2,555% NOK 2181702-8 Bond 02/12/2021 02/12/2031
XS2296020808 XS2296020808 Aktia Bank Abp 21/36 0,69% C 2181702-8 Bond 04/02/2021 04/02/2036
XS2384179458 XS2384179458 Aktia Bank Abp 21/41 1,05% C 2181702-8 Bond 09/09/2021 09/09/2041
FI4000507371 AKT387526 Aktia Bank Abp 21/PERP 3,875% C HYBRID 2181702-8 Tier 1 26/05/2021 26/05/2099
XS2564065600 XS2564065600 Aktia Bank Abp 22/25 4,055% 2181702-8 Bond 09/12/2022 09/12/2025
XS2561158598 XS2561158598 Aktia Bank Abp 22/25 4,112% 2181702-8 Bond 29/11/2022 28/11/2025
XS2449912208 XS2449912208 Aktia Bank Abp 22/25 FRN 2181702-8 Bond 28/02/2022 28/02/2025
XS2549854060 XS2549854060 Aktia Bank Abp 22/25 FRN 2181702-8 Bond 27/10/2022 27/10/2025
XS2549854490 XS2549854490 Aktia Bank Abp 22/27 FRN 2181702-8 Bond 27/10/2022 27/04/2027
XS2471064050 XS2471064050 Aktia Bank Abp 22/27 FRN C 2181702-8 Bond 22/04/2022 22/04/2027
XS2491078759 XS2491078759 Aktia Bank Abp 22/27 FRN NOK 2181702-8 Bond 15/06/2022 15/06/2027
XS2547622378 XS2547622378 Aktia Bank Abp 22/27 FRN NOK 2181702-8 Tier 3 19/10/2022 19/10/2027
XS2567515346 XS2567515346 Aktia Bank Abp 22/27 FRN NOK 2181702-8 Tier 3 15/12/2022 15/12/2027
XS2460229847 XS2460229847 Aktia Bank Abp 22/27 FRN SEK 2181702-8 Bond 22/03/2022 22/03/2027
XS2532384968 XS2532384968 Aktia Bank Abp 22/27 FRN SEK 2181702-8 Bond 15/09/2022 15/09/2027
XS2496032017 XS2496032017 Aktia Bank Abp 22/27 FRN STEP C COVD 2181702-8 Bond 28/06/2022 28/06/2027
XS2436153139 XS2436153139 Aktia Bank Abp 22/28 ADJ C COVD 2181702-8 Bond 25/01/2022 25/10/2028
XS2461273950 XS2461273950 Aktia Bank Abp 22/34 3,66% NOK 2181702-8 Bond 23/03/2022 23/03/2034
XS2549302615 XS2549302615 Aktia Bank Abp 22/37 5,06% C 2181702-8 Bond 27/10/2022 27/10/2037
XS2562651336 XS2562651336 Aktia Bank Abp 22/42 4,62% C 2181702-8 Bond 05/12/2022 05/12/2042
XS2577519882 XS2577519882 Aktia Bank Abp 23/25 FRN 2181702-8 Bond 20/01/2023 20/01/2025
XS2577868206 XS2577868206 Aktia Bank Abp 23/25 FRN 2181702-8 Bond 20/01/2023 20/01/2025
XS2701157484 XS2701157484 Aktia Bank Abp 23/25 FRN 2181702-8 Bond 09/10/2023 09/10/2025
XS2582830662 XS2582830662 Aktia Bank Abp 23/25 FRN SEK 2181702-8 Bond 02/02/2023 02/05/2025
XS2626759802 XS2626759802 Aktia Bank Abp 23/25 FRN SEK 2181702-8 Bond 23/05/2023 23/05/2025
XS2670979504 XS2670979504 Aktia Bank Abp 23/25 FRN SEK 2181702-8 Bond 22/08/2023 22/08/2025
XS2592314004 XS2592314004 Aktia Bank Abp 23/26 4,17% 2181702-8 Bond 27/02/2023 27/02/2026
XS2704934244 XS2704934244 Aktia Bank Abp 23/26 4,78% 2181702-8 Tier 3 17/10/2023 17/04/2026
XS2578487105 XS2578487105 Aktia Bank Abp 23/26 FRN 2181702-8 Bond 20/01/2023 20/01/2026
XS2581235228 XS2581235228 Aktia Bank Abp 23/26 FRN 2181702-8 Bond 27/01/2023 27/01/2026
XS2582351347 XS2582351347 Aktia Bank Abp 23/26 FRN 2181702-8 Bond 03/02/2023 03/02/2026
XS2577113827 XS2577113827 Aktia Bank Abp 23/26 FRN NOK 2181702-8 Bond 19/01/2023 19/01/2026
XS2673931171 XS2673931171 Aktia Bank Abp 23/26 FRN SEK 2181702-8 Bond 31/08/2023 31/08/2026
XS2630109226 XS2630109226 Aktia Bank Abp 23/27 ADJ C COVD 2181702-8 Bond 30/05/2023 31/05/2027
XS2577517241 XS2577517241 Aktia Bank Abp 23/28 FRN NOK 2181702-8 Bond 18/01/2023 18/01/2028
XS2734222420 XS2734222420 Aktia Bank Abp 23/29 FRN NOK 2181702-8 Bond 14/12/2023 14/12/2029
XS2734844850 XS2734844850 Aktia Bank Abp 23/30 FRN NOK 2181702-8 Bond 18/12/2023 18/12/2030
XS2584150788 Aktia Bank Abp 23/33 4,62% 2181702-8 Bond 07/02/2023 07/02/2033
XS2699004078 XS2699004078 Aktia Bank Abp 23/38 5,04% 2181702-8 Bond 05/10/2023 05/10/2038
XS2750345097 XS2750345097 Aktia Bank Abp 24/26 FRN 2181702-8 Bond 19/01/2024 19/01/2026
XS2751598165 XS2751598165 Aktia Bank Abp 24/26 FRN 2181702-8 Bond 19/01/2024 02/02/2026
XS2781027938 XS2781027938 Aktia Bank Abp 24/26 FRN 2181702-8 Bond 08/03/2024 06/03/2026
XS2824781889 XS2824781889 Aktia Bank Abp 24/27 FRN 2181702-8 Bond 21/05/2024 21/05/2027
XS2919073853 XS2919073853 Aktia Bank Abp 24/27 FRN NOK 2181702-8 Bond 14/10/2024 14/10/2027
XS2777369930 XS2777369930 Aktia Bank Abp 24/28 FRN 2181702-8 Bond 06/03/2024 06/03/2028
XS2793368957 XS2793368957 Aktia Bank Abp 24/29 4,04% 2181702-8 Bond 26/03/2024 26/03/2029
XS2824758044 XS2824758044 Aktia Bank Abp 24/29 ADJ C COVD 2181702-8 Bond 22/05/2024 22/10/2029
XS2899487917 XS2899487917 Aktia Bank Abp 24/34 ADJ C SUB 2181702-8 Tier 2 11/09/2024 11/12/2034
XS2783626638 XS2783626638 Aktia Bank Abp 24/34 FRN SEK C SUB 2181702-8 Tier 2 14/03/2024 14/03/2034
XS2787196695 XS2787196695 Aktia Bank Abp 24/40 4,843% C 2181702-8 Bond 19/03/2024 19/03/2040
SE0023439419 Ålandsbanken Abp 0% CERT 124 190325 0145019-3 CD 15/11/2024 19/03/2025
SE0022726493 Ålandsbanken Abp 0% CERT 125 231224 0145019-3 CD 20/08/2024 23/12/2024
SE0022727061 Ålandsbanken Abp 0% CERT 158 270125 0145019-3 CD 22/08/2024 27/01/2025
SE0023440581 Ålandsbanken Abp 0% CERT 176 140525 0145019-3 CD 19/11/2024 14/05/2025
SE0023440573 Ålandsbanken Abp 0% CERT 183 210525 0145019-3 CD 19/11/2024 21/05/2025
SE0022725487 Ålandsbanken Abp 0% CERT 186 140225 0145019-3 CD 12/08/2024 14/02/2025
SE0022574893 Ålandsbanken Abp 0% CERT 186 310125 0145019-3 CD 29/07/2024 31/01/2025
SE0022725446 Ålandsbanken Abp 0% CERT 188 130225 0145019-3 CD 09/08/2024 13/02/2025
SE0022725834 Ålandsbanken Abp 0% CERT 188 190225 0145019-3 CD 15/08/2024 19/02/2025
SE0022727053 Ålandsbanken Abp 0% CERT 188 260225 0145019-3 CD 22/08/2024 26/02/2025
FI4000490677 ALBZVAIH24 Ålandsbanken Abp 21/25 FRN C COVD 0145019-3 Bond 24/11/2021 24/11/2025
SE0016274294 ALBJ215041 Ålandsbanken Abp 21/41 FRN C SUB 0145019-3 Tier 2 16/12/2021 16/12/2041
SE0013360153 ALBZVAIH00 Ålandsbanken Abp 21/PERP FRN C HYBRID 0145019-3 Tier 1 24/03/2021 24/03/2099
FI4000549548 ALBZ0387526 Ålandsbanken Abp 23/26 ADJ C COVD 0145019-3 Bond 16/03/2023 16/03/2026
SE0013360930 ALBZVAIH43 Ålandsbanken Abp 23/43 FRN C SUB 0145019-3 Tier 2 02/03/2023 02/03/2043
FI4000566351 ALBZ030027 Ålandsbanken Abp 24/27 ADJ C COVD 0145019-3 Bond 22/01/2024 22/01/2027
XS2288925568 XS2288925568 Balder Finland OYJ 21/29 1,00% C 2667238-2 Bond 20/01/2021 20/01/2029
XS2345315142 XS2345315142 Balder Finland OYJ 21/30 1,375% C 2667238-2 Bond 24/05/2021 24/05/2030
XS2432565005 XS2432565005 Balder Finland OYJ 22/27 1,00% C 2667238-2 Bond 18/01/2022 18/01/2027
XS2432565187 XS2432565187 Balder Finland OYJ 22/31 2,00% C 2667238-2 Bond 18/01/2022 18/01/2031
FI4000570874 BONU 12024 Bonum Bank Plc (Bonum Pankki 24/27 FRN C 2192977-5 Bond 17/04/2024 17/04/2027
FI4000513403 BONU 22021 Bonum Bank Plc (Bonum Pankki) 21/25 FRN 2192977-5 Bond 16/11/2021 16/11/2025
FI4000512785 BONUZVAIH26 Bonum Bank Plc (Bonum Pankki) 21/26 FRN 2192977-5 Bond 20/10/2021 20/10/2026
FI4000519111 BONU 050425 Bonum Bank Plc (Bonum Pankki) 22/25 FRN 2192977-5 Bond 05/04/2022 05/04/2025
FI4000522438 BONUM 22042027 Bonum Bank Plc (Bonum Pankki) 22/27 FRN 2192977-5 Bond 27/04/2022 27/04/2027
FI4000557301 BONU 12023 Bonum Bank Plc (Bonum Pankki) 23/28 FRN 2192977-5 Bond 21/08/2023 19/07/2028
FI4000517594 FI4000517594 Boreo Oyj 22/PERP ADJ C SUB 0116173-8 Bond 09/02/2022 09/02/2099
FI4000566948 FI4000566948 Boreo Oyj 24/PERP 10,75% C SUB 0116173-8 Bond 21/03/2024 21/03/2099
FI4000456132 CAPMJ400025 CapMan Oyj 20/25 4,00% 0922445-7 Bond 09/12/2020 09/12/2025
FI4000519178 CAPMJ300012 CapMan Oyj 22/27 4,50% C 0922445-7 Bond 13/04/2022 13/04/2027
FI4000571237 CAPMJ650029 CapMan Oyj 24/29 6,50% 0922445-7 Bond 10/06/2024 10/06/2029
SE0021628005 Capnor Weasel Bidc 24/29 FRN EUR FLOOR C 3089585-3 Bond 19/03/2024 19/03/2029
FI4000399688 CGO23012025 Cargotec Oyj 19/25 1,25% C 1927402-8 Bond 23/09/2019 23/01/2025
FI4000399696 CGO23092026 Cargotec Oyj 19/26 1,625% C 1927402-8 Bond 23/09/2019 23/09/2026
XS2387052744 XS2387052744 Castellum Helsinki Financ 21/29 0,875% C 3220837-5 Bond 17/09/2021 17/09/2029
XS2461785185 XS2461785185 Castellum Helsinki Finance 22/25 2,00% C 3220837-5 Bond 24/03/2022 24/03/2025
FI4000518212 CAVJ027527 Caverion Oyj 22/27 2,75% C 2534127-4 Bond 25/02/2022 25/02/2027
XS2434700055 XS2434700055 Central Bank of Savings Ba Plc 22/25 FRN 2238752-5 Bond 20/01/2022 20/01/2025
XS2682329078 XS2682329078 Central Bank of Savings Ba Plc 23/26 FRN 2238752-5 Bond 18/09/2023 18/09/2026
XS2682424143 XS2682424143 Central Bank of Savings Ba Plc 23/27 FRN 2238752-5 Bond 20/09/2023 20/09/2027
XS2652072351 XS2652072351 Central Bank of Savings Ba Plc 23/28 FRN 2238752-5 Bond 19/07/2023 19/07/2028
XS2682424499 XS2682424499 Central Bank of Savings Ba Plc 23/28 FRN 2238752-5 Bond 20/09/2023 20/09/2028
XS2764456344 XS2764456344 Central Bank of Savings Ba Plc 24/26 FRN 2238752-5 Bond 12/02/2024 12/02/2026
XS2911781461 XS2911781461 Central Bank of Savings Ba Plc 24/26 FRN 2238752-5 Bond 02/10/2024 02/10/2026
XS2812488984 XS2812488984 Central Bank of Savings Ba Plc 24/28 FRN 2238752-5 Bond 02/05/2024 02/05/2028
XS1910254314 XS1910254314 Central Bank of Savings Plc 18/26 1,40% 2238752-5 Bond 15/11/2018 15/03/2026
XS1986372461 XS1986372461 Central Bank of Savings Plc 19/25 0,75% 2238752-5 Bond 23/04/2019 15/04/2025
XS2051925142 XS2051925142 Central Bank of Savings Plc 19/26 0,15% 2238752-5 Bond 13/09/2019 14/09/2026
XS2057988896 XS2057988896 Central Bank of Savings Plc 19/26 0,20% 2238752-5 Bond 01/10/2019 01/10/2026
XS2208303656 XS2208303656 Central Bank of Savings Plc 20/25 0,47% 2238752-5 Bond 23/07/2020 23/07/2025
XS2193762783 XS2193762783 Central Bank of Savings Plc 20/30 1,135% 2238752-5 Bond 24/06/2020 24/06/2030
XS2209060784 XS2209060784 Central Bank of Savings Plc 20/31 0,87% 2238752-5 Bond 28/07/2020 28/07/2031
XS2215896700 XS2215896700 Central Bank of Savings Plc 20/34 0,975% 2238752-5 Bond 20/08/2020 18/08/2034
XS2245806224 XS2245806224 Central Bank of Savings Plc 20/35 0,84% 2238752-5 Bond 22/10/2020 22/10/2035
XS2188664507 XS2188664507 Central Bank of Savings Plc 20/35 1,50% 2238752-5 Bond 12/06/2020 12/06/2035
XS2174790373 XS2174790373 Central Bank of Savings Plc 20/35 1,652% 2238752-5 Bond 14/05/2020 14/05/2035
XS2424942451 XS2424942451 Central Bank of Savings Plc 21/24 0,15% 2238752-5 Bond 23/12/2021 23/12/2024
XS2276751794 XS2276751794 Central Bank of Savings Plc 21/25 0,125% 2238752-5 Bond 11/02/2021 22/12/2025
XS2309470826 XS2309470826 Central Bank of Savings Plc 21/26 0,21% 2238752-5 Bond 05/03/2021 05/03/2026
XS2287870278 XS2287870278 Central Bank of Savings Plc 21/36 0,86% 2238752-5 Bond 18/01/2021 18/01/2036
XS2570761051 XS2570761051 Central Bank of Savings Plc 22/32 4,60% 2238752-5 Bond 27/12/2022 27/12/2032
XS2623205536 XS2623205536 Central Bank of Savings Plc 23/25 4,00% 2238752-5 Bond 12/05/2023 12/05/2025
XS2639039945 XS2639039945 Central Bank of Savings Plc 23/25 4,515% 2238752-5 Bond 21/06/2023 21/06/2025
XS2588973078 XS2588973078 Central Bank of Savings Plc 23/26 4,21% 2238752-5 Bond 24/02/2023 24/02/2026
XS2731298126 XS2731298126 Central Bank of Savings Plc 23/26 4,32% 2238752-5 Bond 08/12/2023 08/12/2026
XS2739154198 XS2739154198 Central Bank of Savings Plc 23/27 3,902% 2238752-5 Bond 28/12/2023 05/01/2027
XS2589697403 XS2589697403 Central Bank of Savings Plc 23/33 4,625% 2238752-5 Bond 21/02/2023 21/02/2033
XS2652072781 XS2652072781 Central Bank of Savings Plc 23/35 5,01% 2238752-5 Bond 18/07/2023 18/07/2035
XS2931263052 XS2931263052 Central Bank of Savings Plc 24/39 3,945% 2238752-5 Bond 04/11/2024 04/11/2039
FI4000153606 ESPOO29042015 City of Espoo (Espoon kaupun 15/30 1,00% 0101263-6 Bond 29/04/2015 29/04/2030
FI4000076567 City of Tallin 13/33 3,57% 75014920 Bond 20/12/2013 20/12/2033
XS2079413527 XS2079413527 Citycon Oyj 19/PERP ADJ C SUB 0699505-3 Bond 22/11/2019 22/02/2099
XS2347397437 XS2347397437 Citycon Oyj 21/PERP 3,625% C SUB 0699505-3 Bond 04/06/2021 10/06/2099
XS2830463118 XS2830463118 Citycon Oyj 24/PERP 7,875% C SUB 0699505-3 Bond 10/06/2024 10/06/2099
XS2058989489 XS2058989489 Danske Mortgage Ban Plc 20/28 ADJ C COVD 2825892-7 Bond 14/01/2020 14/01/2028
XS2412105533 XS2412105533 Danske Mortgage Ban Plc 21/26 ADJ C COVD 2825892-7 Bond 24/11/2021 24/11/2026
XS2531929094 XS2531929094 Danske Mortgage Ban Plc 22/25 ADJ C COVD 2825892-7 Bond 16/09/2022 16/09/2025
XS2621830848 XS2621830848 Danske Mortgage Ban Plc 23/27 ADJ C COVD 2825892-7 Bond 18/05/2023 12/01/2027
XS2673564832 XS2673564832 Danske Mortgage Ban Plc 23/29 ADJ C COVD 2825892-7 Bond 29/08/2023 29/01/2029
FI4000312095 DNA137525 DNA Oy 18/25 1,375% C 0592509-6 Bond 27/03/2018 27/03/2025
FI0002002221 Elcoteq SE 04/11 ADJ C SUB 0861051-6 Bond 22/12/2004 22/12/2011
XS1005287203 XS1005287203 Elenia Verkko Oyj 13/30 4,102% 3001882-6 Bond 17/12/2013 17/12/2030
XS1081230523 XS1081230523 Elenia Verkko Oyj 14/26 3,038% C 3001882-6 Bond 02/07/2014 02/07/2026
XS1086080642 XS1086080642 Elenia Verkko Oyj 14/26 3,077% 3001882-6 Bond 17/07/2014 17/07/2026
XS1089247487 XS1089247487 Elenia Verkko Oyj 14/29 FRN C 3001882-6 Bond 04/08/2014 04/08/2029
XS1105440496 XS1105440496 Elenia Verkko Oyj 14/34 3,103% 3001882-6 Bond 04/09/2014 04/09/2034
XS1402336173 XS1402336173 Elenia Verkko Oyj 16/29 2,259% C 3001882-6 Bond 06/05/2016 06/05/2029
XS1352122375 XS1352122375 Elenia Verkko Oyj 16/31 2,641% C 3001882-6 Bond 27/01/2016 27/01/2031
XS1476763443 XS1476763443 Elenia Verkko Oyj 16/34 2,17% C 3001882-6 Bond 26/08/2016 26/08/2034
XS1664653547 Elenia Verkko Oyj 17/34 2,602% 3001882-6 Bond 11/09/2017 11/09/2034
XS1678466969 XS1678466969 Elenia Verkko Oyj 17/34 2,602% C 3001882-6 Bond 11/09/2017 11/09/2034
XS1837142444 XS1837142444 Elenia Verkko Oyj 18/35 2,735% C 3001882-6 Bond 14/06/2018 14/06/2035
XS2113885011 XS2113885011 Elenia Verkko Oyj 20/27 0,375% 3001882-6 Bond 06/02/2020 06/02/2027
XS1953833750 XS1953833750 Elisa Oyj 19/26 1,125% 0116510-6 Bond 26/02/2019 26/02/2026
XS2230266301 XS2230266301 Elisa Oyj 20/27 0,25% 0116510-6 Bond 15/09/2020 15/09/2027
XS2695011978 XS2695011978 Elisa Oyj 23/29 4,00% C 0116510-6 Bond 27/09/2023 27/01/2029
FI4000541826 Enersense International Oyj 22/27 7,00% 0609766-7 Bond 12/12/2022 15/01/2027
FI4000411244 Festivo Finland Oy 19/24 12,00% STEP C 2525720-8 Bond 16/12/2019 30/09/2024
XS0969858942 XS0969858942 Fingrid Oyj 13/25 4,31% NOK 1072894-3 Bond 16/09/2013 16/09/2025
XS0907272818 Fingrid Oyj 13/28 2,71% 1072894-3 Bond 27/03/2013 27/03/2028
XS0970904677 Fingrid Oyj 13/28 3,27% 1072894-3 Bond 12/09/2013 12/09/2028
XS1069555149 XS1069555149 Fingrid Oyj 14/29 2,888% 1072894-3 Bond 30/05/2014 30/05/2029
XS1061030034 XS1061030034 Fingrid Oyj 14/29 2,95% 1072894-3 Bond 24/04/2014 24/04/2029
XS1722899918 XS1722899918 Fingrid Oyj 17/27 1,125% 1072894-3 Bond 23/11/2017 23/11/2027
XS2169794869 Fingrid Oyj 20/25 0,527% 1072894-3 Bond 07/05/2020 07/05/2025
XS2152797663 XS2152797663 Fingrid Oyj 20/30 2,72% NOK 1072894-3 Bond 08/04/2020 08/04/2030
XS2784700671 Fingrid Oyj 24/34 3,25% C 1072894-3 Bond 20/03/2024 20/03/2034
FI4000571260 FIASJ475029 Finnair Plc. 24/29 4,75% C 0108023-3 Bond 24/05/2024 24/05/2029
FI4000532916 Finnfund (Teollisen yhteistyön 22/25 FRN 0356880-6 Bond 24/10/2022 24/10/2025
XS1241947768 XS1241947768 Finnvera PLC 15/25 2,375% USD 1484332-4 Bond 04/06/2015 04/06/2025
XS1392927072 XS1392927072 Finnvera PLC 16/26 0,50% 1484332-4 Bond 13/04/2016 13/04/2026
XS1538285807 XS1538285807 Finnvera PLC 16/28 1,91% SEK 1484332-4 Bond 20/12/2016 20/12/2028
XS1613374559 XS1613374559 Finnvera PLC 17/32 1,125% 1484332-4 Bond 17/05/2017 17/05/2032
XS1904312318 XS1904312318 Finnvera PLC 18/28 0,75% 1484332-4 Bond 07/11/2018 07/08/2028
XS1791423178 XS1791423178 Finnvera PLC 18/33 1,25% 1484332-4 Bond 14/03/2018 14/07/2033
XS1979447064 XS1979447064 Finnvera PLC 19/29 0,375% 1484332-4 Bond 09/04/2019 09/04/2029
XS1951364915 Finnvera PLC 19/29 2,80% AUD 1484332-4 Bond 14/02/2019 14/08/2029
XS2230845328 XS2230845328 Finnvera PLC 20/27 0% 1484332-4 Bond 15/09/2020 15/09/2027
XS2401591800 XS2401591800 Finnvera PLC 21/26 1,125% USD 1484332-4 Bond 27/10/2021 27/10/2026
XS2529521283 XS2529521283 Finnvera PLC 22/28 2,125% 1484332-4 Bond 08/09/2022 08/03/2028
XS2708405662 XS2708405662 Finnvera PLC 23/27 5,125% USD 1484332-4 Bond 25/10/2023 17/03/2027
XS2636756657 XS2636756657 Finnvera PLC 23/28 4,00% USD 1484332-4 Bond 15/06/2023 15/06/2028
XS2830098666 XS2830098666 Finnvera PLC 24/29 2,875% 1484332-4 Bond 30/05/2024 30/08/2029
FI4000508007 Fintoil Hamina Oy 21/27 7,50% C 3114108-4 Bond 01/07/2021 01/07/2027
FI4000561949 FSKRSJ512528 Fiskars Oyj Abp 23/28 5,125% C 0214036-5 Bond 16/11/2023 16/11/2028
NO0012547274 FORJVAIH27 Fortaco Group Hold 22/27 FRN EUR FLOOR C 3281147-3 Bond 22/07/2022 22/07/2027
SE0022761110 Fortum Oyj 0% CERT 182 130325 1463611-4 CD 12/09/2024 13/03/2025
SE0023287438 Fortum Oyj 0% CERT 183 060525 1463611-4 CD 04/11/2024 06/05/2025
SE0023111810 Fortum Oyj 0% CERT 183 190325 1463611-4 CD 17/09/2024 19/03/2025
SE0023112263 Fortum Oyj 0% CERT 186 240325 1463611-4 CD 19/09/2024 24/03/2025
SE0022574455 Fortum Oyj 0% CERT 187 200125 1463611-4 CD 17/07/2024 20/01/2025
SE0022574463 Fortum Oyj 0% CERT 189 220125 1463611-4 CD 17/07/2024 22/01/2025
SE0022447660 Fortum Oyj 0% CERT 277 070425 1463611-4 CD 04/07/2024 07/04/2025
SE0022049961 Fortum Oyj 0% CERT 277 170125 1463611-4 CD 15/04/2024 17/01/2025
XS0939100524 XS0939100524 Fortum Oyj 13/43 3,50% 1463611-4 Bond 03/06/2013 03/06/2043
XS1956037664 XS1956037664 Fortum Oyj 19/26 1,625% C 1463611-4 Bond 27/02/2019 27/02/2026
XS1956027947 XS1956027947 Fortum Oyj 19/29 2,125% C 1463611-4 Bond 27/02/2019 27/02/2029
XS2606264005 XS2606264005 Fortum Oyj 23/28 4,00% C 1463611-4 Bond 26/05/2023 26/05/2028
XS2606261597 XS2606261597 Fortum Oyj 23/33 4,50% C 1463611-4 Bond 26/05/2023 26/05/2033
XS2281473111 XS2281473111 Hemsö Treasury Oyj 21/28 0% C 3166158-1 Bond 19/01/2021 19/01/2028
FI4000348818 HKFoods Oyj 18/PERP 8,00% STEP C SUB 0111425-3 Bond 17/09/2018 17/09/2099
FI4000490990 HKSJ050025 HKFoods Oyj 21/25 5,00% C 0111425-3 Bond 24/03/2021 24/03/2025
FI4000571708 HKSJVAIH27 HKFoods Oyj 24/27 FRN FLOOR 0111425-3 Bond 17/06/2024 17/06/2027
SE0015530712 HLRE01 HLRE Holding Oyj 21/27 FRN FLOOR STEP C 2611405-7 Bond 12/02/2021 12/02/2027
FI4000410915 HUHJ112526 Huhtamäki Oyj 19/26 1,125% C 0140879-6 Bond 20/11/2019 20/11/2026
FI4000523550 HUHJ425027 Huhtamäki Oyj 22/27 4,25% C 0140879-6 Bond 09/06/2022 09/06/2027
FI4000562202 HUHJ512528 Huhtamäki Oyj 23/28 5,125% C 0140879-6 Bond 24/11/2023 24/11/2028
SE0011451871 ICON Real Estate Fund 18/21 11,00% EUR C 2657075-7 Bond 11/07/2018 11/07/2021
SE0011451608 ICON Real Estate Fund III 18/21 11,00% C 2657075-7 Bond 11/07/2018 11/07/2021
FI4000496468 KEMJ100028 Kemira Oyj 21/28 1,00% C 0109823-0 Bond 30/03/2021 30/03/2028
FI4000578224 KESJ035030 Kesko Oyj 24/30 3,50% 0109862-8 Bond 02/10/2024 02/02/2030
XS1785356251 XS1785356251 Kojamo Oyj 18/25 1,625% C 0116336-2 Bond 07/03/2018 07/03/2025
XS2179959817 XS2179959817 Kojamo Oyj 20/27 1,875% C 0116336-2 Bond 27/05/2020 27/05/2027
XS2345877497 XS2345877497 Kojamo Oyj 21/29 0,875% C 0116336-2 Bond 28/05/2021 28/05/2029
XS2463711643 XS2463711643 Kojamo Oyj 22/26 2,00% C 0116336-2 Bond 31/03/2022 31/03/2026
NO0013250647 KoskiRent Oy 24/27 FRN EUR FLOOR C 2539752-6 Bond 28/06/2024 28/06/2027
FI4000512579 KOT05102026 Kotkan Kaupunki 21/26 FRN FLOOR 0160225-7 Bond 05/10/2021 05/10/2026
FI4000556154 LAMORJ100026 Lamor Corporation Oyj 23/26 10,00% C 2038517-1 Bond 24/08/2023 24/08/2026
FI4000415757 LAP11032025 Lappeenranta Kaupunki (City of 20/25 0% 0162193-3 Bond 11/03/2020 11/03/2025
FI4000523022 LATJ0337528 Lassila & Tikanoja Oyj 22/28 3,375% C 1680140-0 Bond 19/05/2022 19/05/2028
FI4000527155 Lehto Group Plc 22/27 6,00% SUB 2235443-2 Bond 30/06/2022 30/06/2027
XS2831536227 XS2831536227 Mandatum Life Insurance 24/39 ADJ C SUB 0641130-2 Tier 2 04/09/2024 04/12/2039
FI4000425897 MANTS012020 Mäntsälän kunta 20/25 0% 0129261-5 Bond 09/09/2020 09/09/2025
FI4000480249 MANTS012021 Mäntsälän kunta 21/26 0% 0129261-5 Bond 04/02/2021 04/02/2026
FI4000288204 Mash Group Oyj 17/20 7,00% 2237990-4 Bond 13/10/2017 13/10/2020
FI4000292297 Mash Group Oyj 17/22 9,00% 2237990-4 Bond 14/11/2017 14/11/2022
FI4000292628 Mash Group Oyj 17/27 2,50% 2237990-4 Bond 21/12/2017 21/12/2027
FI4000260591 Mash Group Oyj 17/27 3,00% 2237990-4 Bond 05/05/2017 05/05/2027
FI4000292636 Mash Group Oyj 17/27 3,00% 2237990-4 Bond 21/12/2017 21/12/2027
FI4000292644 Mash Group Oyj 17/27 3,50% 2237990-4 Bond 21/12/2017 21/12/2027
FI4000281837 Mash Group Oyj 17/27 4,00% 2237990-4 Bond 08/09/2017 08/09/2027
FI4000282629 METJ275027 Metsä Board Oyj 17/27 2,75% C 0635366-7 Bond 29/09/2017 29/09/2027
XS2264692737 XS2264692737 Metso Oyj 20/28 0,875% C 0828105-4 Bond 26/11/2020 26/05/2028
XS2560415965 XS2560415965 Metso Oyj 22/27 4,875% C 0828105-4 Bond 07/12/2022 07/12/2027
XS2717378231 XS2717378231 Metso Oyj 23/30 4,375% C 0828105-4 Bond 22/11/2023 22/11/2030
NO0011037327 MULTITUDE PERPETUAL Multitu 21/PERP FRN EUR FLOOR STEP C SUB 3456294-1 Bond 05/07/2021 06/07/2099
NO0013259747 Multitude Capital 24/28 FRN EUR FLOOR C 3454519-9 Bond 27/06/2024 27/06/2028
XS1572438619 Municipality Finance 17/27 0,35% STEP C 1701683-4 Bond 01/03/2017 01/03/2027
XS2917479490 MUNIFIN EUR 25M 10 29 Municipality Finance 24/29 2,75% STEP C 1701683-4 Bond 16/10/2024 16/10/2029
XS2919280565 MUNIFIN EUR 25M 10 2029 Municipality Finance 24/29 3,23% STEP C 1701683-4 Bond 21/10/2024 21/10/2029
XS2909725314 MUNIFIN EUR 20M 10 34 Municipality Finance 24/34 4,00% STEP C 1701683-4 Bond 04/10/2024 04/10/2034
XS2838545742 MUNIFIN EUR 40M 06 34 Municipality Finance 24/34 4,10% STEP C 1701683-4 Bond 14/06/2024 14/06/2034
XS2930107904 MUNIFIN EUR 20M 11 35 Municipality Finance 24/35 3,87% STEP C 1701683-4 Bond 05/11/2024 05/11/2035
XS2928676548 MUNIFIN USD 150M 10 27 Municipality Finance P 24/27 4,06% USD C 1701683-4 Bond 28/10/2024 28/10/2027
XS2902607527 MUNIFIN GBP 100M 09 28 Municipality Finance P 24/28 4,10% GBP C 1701683-4 Bond 13/09/2024 17/09/2028
XS2079706979 MUNIFIN 250M 2034 NOTES Municipality Finance PL 19/34 0,875% SEK 1701683-4 Bond 14/11/2019 14/11/2034
XS2289129483 MUNIFIN USD 1.5B 2026 Municipality Finance PL 21/26 0,625% USD 1701683-4 Bond 20/01/2021 20/03/2026
XS2381694533 MUNIFIN USD1B 2026 Municipality Finance PL 21/26 0,875% USD 1701683-4 Bond 02/09/2021 02/09/2026
XS2635195311 MUNIFIN 1B USD 12 2027 Municipality Finance PL 23/27 4,125% USD 1701683-4 Bond 13/06/2023 15/12/2027
XS2702460952 MUNIFIN USD 1250M 2027 Municipality Finance PL 23/27 4,875% USD 1701683-4 Bond 13/10/2023 13/01/2027
XS2668178945 MUNIFIN 250M GBP 07 2027 Municipality Finance PL 23/27 5,125% GBP 1701683-4 Bond 16/08/2023 22/07/2027
XS2807531657 MUNIFIN USD 1000M 04 27 Municipality Finance PL 24/27 4,875% USD 1701683-4 Bond 23/04/2024 23/04/2027
XS2779801427 MUNIFIN GBP 250M 10 28 Municipality Finance PL 24/28 4,375% GBP 1701683-4 Bond 07/03/2024 02/10/2028
XS2914674408 MUNIFIN USD 1000M 10 29 Municipality Finance PL 24/29 3,625% USD 1701683-4 Bond 09/10/2024 09/10/2029
XS2908585933 MUNIFIN NOK 2B 092029 Municipality Finance PL 24/29 3,666% NOK 1701683-4 Bond 26/09/2024 26/09/2029
XS1892254076 XS1892254076 Municipality Finance PLC ( 18/48 1,89% C 1701683-4 Bond 11/10/2018 11/10/2048
XS1778926888 XS1778926888 Municipality Finance PLC ( 18/48 2,04% C 1701683-4 Bond 26/02/2018 26/02/2048
XS2138679548 MUNIFIN EUR 80M 2040 Municipality Finance PLC ( 20/40 0,4475% 1701683-4 Bond 19/03/2020 19/03/2040
XS2251309907 MUNIFIN EUR 30 M 2060 Municipality Finance PLC ( 20/60 0,9825% 1701683-4 Bond 03/11/2020 03/11/2060
XS2362696630 MUNIFIN USD200M 2026 Municipality Finance PLC ( 21/26 FRN USD 1701683-4 Bond 15/07/2021 15/07/2026
XS2463205786 MUNIFIN SEK150M 2026 Municipality Finance PLC ( 22/26 FRN SEK 1701683-4 Bond 30/03/2022 30/03/2026
XS2567397125 MUNIFIN EUR12M 2028 Municipality Finance PLC ( 22/28 2,96% C 1701683-4 Bond 20/12/2022 20/12/2028
XS2563002901 MUNIFIN EUR5M 2029 Municipality Finance PLC ( 22/29 3,05% C 1701683-4 Bond 05/12/2022 05/12/2029
XS2436325950 MUNIFIN 11.5M EUR 2030 Municipality Finance PLC ( 22/30 0% STEP 1701683-4 Bond 01/02/2022 01/02/2030
XS2444851039 MUNIFIN 120M EUR 2032 Municipality Finance PLC ( 22/32 0% STEP 1701683-4 Bond 22/02/2022 22/02/2032
XS2449922777 MUNIFIN 20M EUR 2032 Municipality Finance PLC ( 22/32 0,9325% 1701683-4 Bond 07/03/2022 07/03/2032
XS2541879842 MUNIFIN EUR5M 2040 Municipality Finance PLC ( 22/40 3,45% C 1701683-4 Bond 12/10/2022 12/10/2040
XS2583248625 MUNIFIN EUR30M 2028 Municipality Finance PLC ( 23/28 3,25% C 1701683-4 Bond 07/02/2023 07/02/2028
XS2581756629 MUNIFIN EUR10M 01 33 Municipality Finance PLC ( 23/33 3,66% C 1701683-4 Bond 31/01/2023 31/01/2033
XS2595681375 MUNIFIN EUR100M 03 34 Municipality Finance PLC ( 23/43 4,47% C 1701683-4 Bond 10/03/2023 10/03/2043
XS2824749720 MUNIFIN EUR 40M 11 29 Municipality Finance PLC ( 24/29 3,75% C 1701683-4 Bond 22/05/2024 22/11/2029
XS2843962940 MUNIFIN EUR 10M 06 44 Municipality Finance PLC ( 24/44 3,84% C 1701683-4 Bond 20/06/2024 20/06/2044
XS2768794302 MUNIFIN EUR 20M 05 54 Municipality Finance PLC ( 24/54 4,05% C 1701683-4 Bond 21/02/2024 29/05/2054
XS1548533329 MUNIFIN EUR1B 2026 NOTES Municipality Finance PLC (K 17/26 0,625% 1701683-4 Bond 12/01/2017 26/11/2026
XS1651452325 Municipality Finance PLC (K 17/37 1,564% 1701683-4 Bond 27/07/2017 27/07/2037
XS1650146936 Municipality Finance PLC (K 17/37 1,565% 1701683-4 Bond 27/07/2017 27/07/2037
XS1673625080 Municipality Finance PLC (K 17/39 1,526% 1701683-4 Bond 30/08/2017 30/08/2039
XS1579316362 Municipality Finance PLC (K 17/52 1,557% 1701683-4 Bond 31/03/2017 29/03/2052
XS1751485316 Municipality Finance PLC (K 18/38 1,435% 1701683-4 Bond 18/01/2018 18/01/2038
XS2058733507 MUNIFIN 100M 2039 NOTES Municipality Finance PLC (K 19/39 0,514% 1701683-4 Bond 07/10/2019 07/10/2039
XS2091674098 MUNIFIN 4.9M 2059 NOTES Municipality Finance PLC (K 19/59 1,245% 1701683-4 Bond 10/12/2019 10/12/2059
XS2250167801 MUNIFIN EUR 70 M 2048 Municipality Finance PLC (K 20/48 0,766% 1701683-4 Bond 28/10/2020 28/10/2048
XS2157193835 MUNIFIN EUR 30M 2050 Municipality Finance PLC (K 20/50 0,939% 1701683-4 Bond 16/04/2020 15/02/2050
XS2257963350 MUNIFIN EUR 25M 2050 Municipality Finance PLC (K 20/50 0,951% 1701683-4 Bond 16/11/2020 16/11/2050
XS2149430774 Municipality Finance PLC (K 20/50 1,945% 1701683-4 Bond 06/04/2020 06/04/2050
XS2211836064 MUNIFIN EUR 40M 60 Municipality Finance PLC (K 20/60 0,726% 1701683-4 Bond 03/08/2020 08/01/2060
XS2226190762 MUNIFIN EUR 50M 2060 Municipality Finance PLC (K 20/60 0,854% 1701683-4 Bond 02/09/2020 14/01/2060
XS2252220020 MUNIFIN EUR 50 M 2060 Municipality Finance PLC (K 20/60 1,005% 1701683-4 Bond 04/11/2020 04/11/2060
XS2261179381 MUNIFIN EUR 50M 11 2060 Municipality Finance PLC (K 20/60 1,155% 1701683-4 Bond 19/11/2020 19/11/2060
XS2372579016 MUNIFIN EUR4M 2033 Municipality Finance PLC (K 21/33 0,185% 1701683-4 Bond 04/08/2021 02/08/2033
XS2305603156 MUNIFIN EUR15M 2051 Municipality Finance PLC (K 21/51 0,858% 1701683-4 Bond 22/02/2021 22/02/2051
XS2327972662 MUNIFIN EUR 13M 2051 Municipality Finance PLC (K 21/51 1,197% 1701683-4 Bond 06/04/2021 06/04/2051
XS2294854075 MUNIFIN EUR50M 2061 Municipality Finance PLC (K 21/61 0,815% 1701683-4 Bond 02/02/2021 24/02/2061
XS2307897541 MUNIFIN EUR40M 2061 Municipality Finance PLC (K 21/61 1,449% 1701683-4 Bond 01/03/2021 01/03/2061
XS2444264688 MUNIFIN 100M EUR 2032 Municipality Finance PLC (K 22/32 1,145% 1701683-4 Bond 14/02/2022 14/02/2032
NO0012490046 MUNIFIN NOK500M 2037 Municipality Finance PLC (K 22/37 2,732% 1701683-4 Bond 07/04/2022 07/04/2037
XS2628385523 MUNIFIN EUR 100M 2026 Municipality Finance PLC (K 23/26 3,017% 1701683-4 Bond 25/05/2023 25/05/2026
XS2577104321 MUNIFIN EUR 1500M 2028 Municipality Finance PLC (K 23/28 2,875% 1701683-4 Bond 18/01/2023 18/01/2028
XS2615680399 MUNIFIN EUR 1000M 2030 Municipality Finance PLC (K 23/30 3,125% 1701683-4 Bond 26/04/2023 29/07/2030
XS1692485912 MUNIFIN EUR500M 2027 GREENBOND Municipality Finance PLC (Ku 17/27 0,75% 1701683-4 Bond 03/10/2017 07/09/2027
XS1591747271 Municipality Finance PLC (Ku 17/34 1,25% 1701683-4 Bond 05/04/2017 05/04/2034
XS1763165195 XS1763165195 Municipality Finance PLC (Ku 18/28 0,65% 1701683-4 Bond 09/02/2018 09/02/2028
XS1769041861 XS1769041861 Municipality Finance PLC (Ku 18/28 0,65% 1701683-4 Bond 13/02/2018 14/02/2028
XS1778489309 XS1778489309 Municipality Finance PLC (Ku 18/28 0,65% 1701683-4 Bond 01/03/2018 01/03/2028
XS1859000967 XS1859000967 Municipality Finance PLC (Ku 18/28 1,40% 1701683-4 Bond 03/08/2018 03/08/2028
XS1756367147 MUNIFIN EUR500M 2033 NOTES Municipality Finance PLC (Ku 18/33 1,25% 1701683-4 Bond 23/01/2018 23/02/2033
XS2023679843 MUNIFIN EUR 500M 2029 GREENBON Municipality Finance PLC (Ku 19/29 0,05% 1701683-4 Bond 10/07/2019 06/09/2029
XS2066738936 MUNIFIN 20M 2049 NOTES Municipality Finance PLC (Ku 19/49 0,96% 1701683-4 Bond 25/10/2019 25/10/2049
XS2066740593 MUNIFIN 41M 2049 NOTES Municipality Finance PLC (Ku 19/49 1,00% 1701683-4 Bond 25/10/2019 25/10/2049
XS2008192507 MUNIFIN EUR 50M 2064 NOTES Municipality Finance PLC (Ku 19/64 0,94% 1701683-4 Bond 07/06/2019 09/06/2064
XS2152347030 Municipality Finance PLC (Ku 20/27 0,10% 1701683-4 Bond 15/04/2020 15/04/2027
XS2181365326 MUNIFIN EUR 50M 30 Municipality Finance PLC (Ku 20/30 0,14% 1701683-4 Bond 03/06/2020 03/06/2030
XS2160979550 MUNIFIN EUR 15M 2030 Municipality Finance PLC (Ku 20/30 0,15% 1701683-4 Bond 29/04/2020 29/04/2030
XS2182120183 MUNIFIN EUR 15M 30 Municipality Finance PLC (Ku 20/30 0,21% 1701683-4 Bond 02/06/2020 02/06/2030
XS2227906034 MUNIFIN EUR 500M 2035 Municipality Finance PLC (Ku 20/35 0,05% 1701683-4 Bond 10/09/2020 10/09/2035
XS2167025498 MUNIFIN EUR30M 2050 Municipality Finance PLC (Ku 20/50 0,87% 1701683-4 Bond 07/05/2020 11/10/2050
XS2144954224 MUNIFIN EUR 2M 2060 Municipality Finance PLC (Ku 20/60 1,18% 1701683-4 Bond 24/03/2020 24/03/2060
XS2140897344 MUNIFIN EUR 30M 2060 Municipality Finance PLC (Ku 20/60 1,22% 1701683-4 Bond 27/03/2020 27/03/2060
XS2319893587 MUNIFIN EUR 5M 2031 Municipality Finance PLC (Ku 21/31 0,10% 1701683-4 Bond 18/03/2021 18/03/2031
XS2381374201 MUNIFIN EUR5M 09 2033 Municipality Finance PLC (Ku 21/33 0,13% 1701683-4 Bond 02/09/2021 02/09/2033
XS2330139432 MUNIFIN EUR 5M 2033 Municipality Finance PLC (Ku 21/33 0,26% 1701683-4 Bond 12/04/2021 12/04/2033
XS2324507206 MUNIFIN EUR 15M 2033 Municipality Finance PLC (Ku 21/33 0,27% 1701683-4 Bond 31/03/2021 31/03/2033
XS2356649843 MUNIFIN EUR5M 2033 Municipality Finance PLC (Ku 21/33 0,38% 1701683-4 Bond 23/06/2021 23/06/2033
XS2399548630 MUNIFIN EUR10M 2033 Municipality Finance PLC (Ku 21/33 0,45% 1701683-4 Bond 18/10/2021 18/10/2033
XS2296161610 MUNIFIN EUR20M 2034 Municipality Finance PLC (Ku 21/34 0,04% 1701683-4 Bond 09/02/2021 09/02/2034
XS2307891932 MUNIFIN EUR5M 2034 Municipality Finance PLC (Ku 21/34 0,27% 1701683-4 Bond 03/03/2021 03/03/2034
XS2383785677 MUNIFIN EUR20M 2036 Municipality Finance PLC (Ku 21/36 0,35% 1701683-4 Bond 03/09/2021 03/09/2036
XS2327434333 MUNIFIN EUR 30M 2051 Municipality Finance PLC (Ku 21/51 1,15% 1701683-4 Bond 01/04/2021 01/04/2051
XS2390146236 MUNIFIN EUR25M 2051 Municipality Finance PLC (Ku 21/51 1,15% 1701683-4 Bond 24/09/2021 24/09/2051
XS2388483930 MUNIFIN EUR25M 2056 Municipality Finance PLC (Ku 21/56 1,17% 1701683-4 Bond 22/09/2021 22/09/2056
XS2324836951 MUNIFIN EUR 25M 2060 Municipality Finance PLC (Ku 21/60 1,20% 1701683-4 Bond 01/04/2021 01/04/2060
XS2328886796 MUNIFIN EUR 5M 2061 Municipality Finance PLC (Ku 21/61 1,30% 1701683-4 Bond 08/04/2021 08/04/2061
XS2309658461 MUNIFIN EUR 30M 2061 Municipality Finance PLC (Ku 21/61 1,40% 1701683-4 Bond 05/03/2021 05/03/2061
NO0012720897 MUNIFIN NOK 1B 2027 Municipality Finance PLC (Ku 22/27 3,54% 1701683-4 Bond 12/10/2022 12/04/2027
XS2448429097 MUNIFIN 3M EUR 2028 Municipality Finance PLC (Ku 22/28 0,56% 1701683-4 Bond 28/02/2022 28/02/2028
XS2480922389 MUNIFIN EUR500M 2029 Municipality Finance PLC (Ku 22/29 1,50% 1701683-4 Bond 17/05/2022 17/05/2029
XS2448410154 MUNIFIN 35M EUR 2030 Municipality Finance PLC (Ku 22/30 0,70% 1701683-4 Bond 04/03/2022 04/03/2030
XS2444750199 MUNIFIN 10M EUR 2030 Municipality Finance PLC (Ku 22/30 0,74% 1701683-4 Bond 15/02/2022 15/11/2030
XS2435663393 MUNIFIN EUR 1000M 2032 Municipality Finance PLC (Ku 22/32 0,25% 1701683-4 Bond 25/01/2022 25/02/2032
XS2436584036 MUNIFIN 5M EUR 2032 Municipality Finance PLC (Ku 22/32 0,68% 1701683-4 Bond 26/01/2022 26/01/2032
XS2445841286 MUNIFIN 10M EUR 2032 Municipality Finance PLC (Ku 22/32 0,97% 1701683-4 Bond 18/02/2022 18/02/2032
XS2444421536 MUNIFIN 5M EUR 2037 Municipality Finance PLC (Ku 22/37 1,30% 1701683-4 Bond 14/02/2022 14/02/2037
XS2590268814 MUNIFIN EUR 1000M 2028 Municipality Finance PLC (Ku 23/28 3,00% 1701683-4 Bond 22/02/2023 25/09/2028
XS2889897885 MUNIFIN EUR 1000M 08 29 Municipality Finance PLC (Ku 24/29 2,50% 1701683-4 Bond 29/08/2024 29/08/2029
XS2748850927 MUNIFIN EUR 1000M 02 34 Municipality Finance PLC (Ku 24/34 2,75% 1701683-4 Bond 17/01/2024 02/02/2034
XS1579297638 Municipality Finance PLC (Kunt 17/27 FRN 1701683-4 Bond 24/03/2017 24/03/2027
NO0010813710 NO0010813710 Municipality Finance PLC (Kunt 18/25 FRN 1701683-4 Bond 10/01/2018 10/01/2025
NO0010917115 MUNIFIN NOK 2 B 2026 Municipality Finance PLC (Kunt 21/26 FRN 1701683-4 Bond 13/01/2021 13/01/2026
NO0012483827 MUNIFIN NOK2000M 2026 Municipality Finance PLC (Kunt 22/26 FRN 1701683-4 Bond 30/03/2022 30/03/2026
NO0011198681 MUNIFIN NOK2500M 2027 Municipality Finance PLC (Kunt 22/27 FRN 1701683-4 Bond 11/01/2022 11/01/2027
NO0012627159 MUNIFIN 500M NOK 2027 Municipality Finance PLC (Kunt 22/27 FRN 1701683-4 Bond 23/08/2022 23/08/2027
XS2860479711 MUNIFIN EUR 5.5M 09 2029 Municipality Finance PLC (Kunt 24/29 FRN 1701683-4 Bond 15/07/2024 30/09/2029
XS2929370919 Municipality Finance PLC (Kunt 24/29 FRN 1701683-4 Bond 29/10/2024 30/09/2029
NO0013355891 MUNIFIN 2B NOK 10 29 Municipality Finance PLC (Kunt 24/29 FRN 1701683-4 Bond 03/10/2024 03/10/2029
XS2159795124 MUNIFIN EUR 1B 2025 Municipality Finance PLC (Kunta 20/25 0% 1701683-4 Bond 22/04/2020 22/04/2025
XS2242924491 MUNIFIN EUR 500M 2030 Municipality Finance PLC (Kunta 20/30 0% 1701683-4 Bond 14/10/2020 14/10/2030
XS2333658073 MUNIFIN EUR 500M 2028 Municipality Finance PLC (Kunta 21/28 0% 1701683-4 Bond 21/04/2021 21/04/2028
XS2307854062 MUNIFIN EUR 1B 2031 Municipality Finance PLC (Kunta 21/31 0% 1701683-4 Bond 02/03/2021 02/03/2031
XS2405336343 MUNIFIN EUR 10M 11-2033 Municipality Finance PLC (Kunta 21/33 0% 1701683-4 Bond 05/11/2021 05/11/2033
XS0255134016 XS0255134016 Municipality Finance PLC 06/36 4,37% NOK 1701683-4 Bond 22/05/2006 22/05/2036
XS0674580369 XS0674580369 Municipality Finance PLC 11/26 4,50% NOK 1701683-4 Bond 14/09/2011 14/09/2026
XS0832690738 XS0832690738 Municipality Finance PLC 12/32 3,05% SEK 1701683-4 Bond 24/09/2012 24/09/2032
XS2027954127 MUNIFIN USD 10M 2039 NOTES Municipality Finance PLC 19/39 2,27% USD 1701683-4 Bond 18/07/2019 18/07/2039
XS2524810525 MUNIFIN 1B USD 2027 Municipality Finance PLC 22/27 3,25% USD 1701683-4 Bond 24/08/2022 24/08/2027
XS2607545303 MUNIFIN USD100M 04 26 Municipality Finance PLC 23/26 4,00% USD 1701683-4 Bond 04/04/2023 04/04/2026
XS2699038993 MUNIFIN 250M GBP 01 2026 Municipality Finance PLC 23/26 5,00% GBP 1701683-4 Bond 04/10/2023 02/01/2026
XS2675717917 MUNIFIN USD 100M 2027 Municipality Finance PLC 23/27 4,68% USD 1701683-4 Bond 01/09/2023 01/09/2027
XS2704934756 MUNIFIN NOK 1000M 2028 Municipality Finance PLC 23/28 4,40% NOK 1701683-4 Bond 18/10/2023 18/04/2028
XS2726471944 MUNIFIN EUR 100M 12 34 Municipality Finance PLC 23/34 4,001% C 1701683-4 Bond 01/12/2023 01/12/2034
XS2673909672 MUNIFIN EUR 15M 08 43 Municipality Finance PLC 23/43 4,033% C 1701683-4 Bond 31/08/2023 31/08/2043
XS2670326375 MUNIFIN EUR 67M 08 43 Municipality Finance PLC 23/43 4,282% C 1701683-4 Bond 18/08/2023 18/08/2043
XS2712590186 MUNIFIN EUR 50M 11 43 Municipality Finance PLC 23/43 4,287% C 1701683-4 Bond 02/11/2023 02/11/2043
XS2769883955 MUNIFIN NOK 2B 2029 Municipality Finance PLC 24/29 4,00% NOK 1701683-4 Bond 20/02/2024 20/02/2029
XS2852993901 MUNIFIN GBP 250M 01 2029 Municipality Finance PLC 24/29 4,25% GBP 1701683-4 Bond 01/07/2024 09/01/2029
XS2757519280 MUNIFIN 1.5B USD 01 2029 Municipality Finance PLC 24/29 4,25% USD 1701683-4 Bond 31/01/2024 31/01/2029
XS2823145094 MUNIFIN EUR 50M 05 34 Municipality Finance PLC 24/34 3,715% C 1701683-4 Bond 17/05/2024 17/05/2034
XS2790855071 MUNIFIN EUR 30M 03 36 Municipality Finance PLC 24/36 3,705% C 1701683-4 Bond 21/03/2024 21/03/2036
XS2832967330 MUNIFIN EUR 11M 05 39 Municipality Finance PLC 24/39 3,718% C 1701683-4 Bond 03/06/2024 31/05/2039
XS2782301126 MUNIFIN EUR 40M 03 43 Municipality Finance PLC 24/43 3,831% C 1701683-4 Bond 13/03/2024 13/03/2043
XS2908725026 MUNIFIN EUR 50M 09 54 Municipality Finance PLC 24/54 3,548% C 1701683-4 Bond 30/09/2024 30/09/2054
XS2893017124 MUNIFIN EUR 15M 09 54 Municipality Finance PLC 24/54 3,727% C 1701683-4 Bond 02/09/2024 02/09/2054
XS2793209565 MUNIFIN USD 100M 03 29 Municipality Plc 24/29 5,22% USD STEP C 1701683-4 Bond 26/03/2024 26/03/2029
FI4000496286 NESJ075028 Neste Oyj 21/28 0,75% C 1852302-9 Bond 25/03/2021 25/03/2028
XS2598649254 XS2598649254 Neste Oyj 23/29 3,875% C 1852302-9 Bond 16/03/2023 16/03/2029
XS2718201515 XS2718201515 Neste Oyj 23/31 3,875% C 1852302-9 Bond 21/11/2023 21/05/2031
XS2599779597 XS2599779597 Neste Oyj 23/33 4,25% C 1852302-9 Bond 16/03/2023 16/03/2033
XS1960685383 XS1960685383 Nokia Oyj 19/26 2,00% C 0112038-9 Bond 11/03/2019 11/03/2026
XS2171759256 XS2171759256 Nokia Oyj 20/25 2,375% C 0112038-9 Bond 15/05/2020 15/05/2025
XS2171872570 XS2171872570 Nokia Oyj 20/28 3,125% C 0112038-9 Bond 15/05/2020 15/05/2028
XS2488809612 XS2488809612 Nokia Oyj 23/31 4,375% C 0112038-9 Bond 21/02/2023 21/08/2031
FI4000556444 TYRJ512528 Nokian Renkaat Oyj 23/28 5,125% C 0680006-8 Bond 14/06/2023 14/06/2028
US65557CAN39 Nordea Bank Abp 14/PERP ADJ C HYBRID 2858394-9 Tier 1 23/09/2014 23/09/2099
XS1189263400 XS1189263400 Nordea Bank Abp 15/25 1,125% 2858394-9 Bond 12/02/2015 12/02/2025
NO0010740095 NODA87 Nordea Bank Abp 15/25 2,75% 2858394-9 Bond 12/06/2015 12/06/2025
NO0010745557 NODA27 PRO Nordea Bank Abp 15/25 3,00% 2858394-9 Bond 17/09/2015 17/09/2025
NO0010744402 BEAR OBX X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744410 BULL OBX X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744428 BEAR ESX50 X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744436 BEAR ESX50 X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744444 BULL ESX50 X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744451 BULL ESX50 X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744469 BEAR DAX X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744477 BEAR DAX X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744485 BULL DAX X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744493 BULL DAX X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744501 BEAR SP500 X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744519 BEAR SP500 X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744527 BULL SP500 X2 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010744535 BULL SP500 X5 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 14/09/2015 14/09/2099
NO0010747850 BULL GULL X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747868 BEAR GULL X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747876 BULL BRENT X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747884 BEAR BRENT X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747892 BULL DNB X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747900 BEAR DNB X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747918 BULL MOWI X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747926 BEAR MOWI X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747934 BULL NHY X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010747942 BEAR NHY X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010748023 BULL TEL X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
NO0010748031 BEAR TEL X3 ND Nordea Bank Abp 15/PERP LNK 2858394-9 Linked Notes 23/10/2015 23/10/2099
XS1366726146 XS1366726146 Nordea Bank Abp 16/36 2,11% C 2858394-9 Bond 19/02/2016 19/02/2036
XS1373025433 XS1373025433 Nordea Bank Abp 16/36 2,12% C 2858394-9 Bond 03/03/2016 03/03/2036
NO0010756901 BULL BRENT X1 ND Nordea Bank Abp 16/99 LNK 2858394-9 Linked Notes 12/02/2016 12/02/2099
NO0010756919 BULL DAX X1 ND Nordea Bank Abp 16/99 LNK 2858394-9 Linked Notes 12/02/2016 12/02/2099
NO0010756927 BULL SP500 X1 ND Nordea Bank Abp 16/99 LNK 2858394-9 Linked Notes 12/02/2016 12/02/2099
NO0010756935 BULLESTX50 X1 ND Nordea Bank Abp 16/99 LNK 2858394-9 Linked Notes 12/02/2016 12/02/2099
NO0010757313 BULL GULL X1 ND Nordea Bank Abp 16/99 LNK 2858394-9 Linked Notes 12/02/2016 12/02/2099
NO0010755283 BULL GJF X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755291 BEAR GJF X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755309 BULL YAR X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755317 BEAR YAR X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755325 BULL SUBC X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755333 BEAR SUBC X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755341 BULL NAS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755358 BEAR NAS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755374 BULL REC X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755382 BEAR REC X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755390 BULL PGS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755432 BULL VOLVO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755440 BEAR VOLVO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755457 BULL HM X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755465 BEAR HM X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755473 BULL NOVO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755481 BEAR NOVO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755499 BULL VSTAS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755507 BEAR VSTAS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755515 BULL BMW X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755523 BEAR BMW X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755531 BULL DAIML X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755549 BEAR DAIML X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755572 BULL ZALAN X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010755580 BEAR ZALAN X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 22/01/2016 22/01/2099
NO0010764756 BULL TGS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010764764 BEAR TGS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010764772 BULL DNO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010764780 BEAR DNO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010764798 BULL FRO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010764806 BEAR FRO X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 20/05/2016 20/05/2099
NO0010770597 BULL OBX X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770605 BULL OBX X8 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770613 BEAR OBX X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770621 BEAR OBX X8 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770639 BULL DAX X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770647 BULL DAX X8 NDX Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770654 BEAR DAX X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770662 BEAR DAX X8 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770670 BULL OMXS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770688 BULL OMXS X5 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770696 BEAR OMXS X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010770704 BEAR OMXS X5 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 02/09/2016 02/09/2099
NO0010777279 BEAR PGS X2 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777287 BULL ORK X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777295 BEAR ORK X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777303 BULL STB X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777311 BEAR STB X3 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777329 BULL VW X2 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777345 BEAR VW X2 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777352 BEAR DBK X2 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777360 BULL NDA X3 NDX Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777378 BEAR NDA X3 NDX Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
NO0010777386 BULL FING X2 ND Nordea Bank Abp 16/PERP LNK 2858394-9 Linked Notes 04/11/2016 04/11/2099
XS1689535000 XS1689535000 Nordea Bank Abp 17/27 1,125% 2858394-9 Bond 27/09/2017 27/09/2027
NO0010792831 NODA33 PRO Nordea Bank Abp 17/27 2,65% 2858394-9 Bond 11/05/2017 11/06/2027
NO0010783103 BULL BANKS X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783111 BULL HCARE X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783129 BULL OILGA X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783137 BULL BASRE X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783145 BULL TELEC X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783152 BULL BANKS X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783160 BULL HCARE X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783178 BULL OILGA X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783186 BULL BASRE X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783194 BULL TELEC X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783202 BEAR BANKS X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783210 BEAR HCARE X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783228 BEAR OILGA X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783236 BEAR BASRE X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783244 BEAR TELEC X3 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783251 BEAR BANKS X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783269 BEAR HCARE X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783277 BEAR OILGA X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783285 BEAR BASRE X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
NO0010783293 BEAR TELEC X5 ND Nordea Bank Abp 17/99 LNK 2858394-9 Linked Notes 27/01/2017 27/01/2099
XS1725580465 XS1725580465 Nordea Bank Abp 17/PERP ADJ C HYBRID 2858394-9 Tier 1 28/11/2017 12/03/2099
NO0010787757 BULL REC X3 ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/03/2017 07/03/2099
NO0010787831 BEAR REC X3 ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/03/2017 07/03/2099
NO0010787849 BULL SDRL X2 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/03/2017 07/03/2099
NO0010787856 BEAR SUBC X3 ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/03/2017 07/03/2099
NO0010787864 BULL FUNCO X2 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/03/2017 07/03/2099
NO0010791809 BULL BRENT X5ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 28/04/2017 28/04/2099
NO0010791817 BULL BRENT X2ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 28/04/2017 28/04/2099
NO0010791825 BEAR BRENT X5ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 28/04/2017 28/04/2099
NO0010791833 BEAR BRENT X2ND1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 28/04/2017 28/04/2099
NO0010791916 BULLDAXX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791924 BULL DAX X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791932 BULLDAXX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791940 BULLDAXX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791957 BULLDAXX15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791973 BEAR DAX X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010791999 BEAR DAX X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792005 BEARDAXX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792013 BEARDAXX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792021 BULL SX5E X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792039 BEARDAXX15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792047 BULLOMX30X3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792054 BULLSX5EX5NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792062 BULL OMXS30 X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792070 BULLSX5EX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792088 BULLSX5EX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792096 BULLSX5EX15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792104 BEAR SX5E X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792112 BEAR SX5E X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792120 BULLOMX30X10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792138 BEARSX5EX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792146 BULLOMX30X12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792153 BEARSX5EX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792161 BEARSX5EX15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792179 BEAR OMXS30 X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792187 BULL OBX X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792195 BEAR OMXS30 X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792203 BULL OBX X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792211 BEAROMX30X10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792229 BULLOBXX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792237 BEAROMX30X12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792245 BEAR OBX X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792252 BEAROMX30X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792260 BEAR OBX X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792278 BEAROBXX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 05/05/2017 05/05/2099
NO0010792336 BULLOMX30X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/05/2017 02/05/2099
NO0010792591 BULLDNBX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792609 BULL DNB X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792617 BULL DNO X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792633 BULLDNOX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792641 BULL FRO X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792666 BULL FRO X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792682 BEAR DNB X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792690 BEAR DNB X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792708 BEAR DNB X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792716 BEAR DNO X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792724 BEAR DNO X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792732 BEAR DNO X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792740 BEAR FRO X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792757 BEAR FRO X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010792765 BEARFROX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793896 BULL OLJE X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793904 BULL OLJE X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793912 BULL OLJE X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793920 BULLOLJEX5NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793938 BULLOLJEX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793946 BULLOLJEX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793953 BULLOLJEX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793961 BULL GULL X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793979 BULL GULL X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793987 BULL GULL X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010793995 BULL GULL X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794001 BULL GULL X8 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794019 BULL GULL X10 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794027 BULL GULL X12 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794035 BEAR OLJE X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794043 BEAR OLJE X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794050 BEAROLJEX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794068 BEAROLJEX5NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794076 BEAROLJEX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794084 BEAROLJEX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794092 BEAROLJEX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794100 BEARGULLX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794118 BEAR GULL X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794126 BEARGULLX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794134 BEAR GULL X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794142 BEAR GULL X8 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794159 BEAR GULL X10 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794167 BEARGULLX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 22/05/2017 22/05/2099
NO0010794282 BULL SP500 X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794290 BULL SP500 X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794316 BULL SP500 X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794324 BULL SP500 X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794332 BULL SP500 X8 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794340 BULL SP500 X10 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794456 BULLSP500X12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794464 BULLSP500X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794472 BULL NQ100 X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794480 BULL NQ100 X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794498 BULL NQ100 X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794506 BULLNQ100X5NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794514 BULL NQ100 X8 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794522 BULL NQ100 X10 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794530 BULL NQ100 X12 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794548 BULLNQ100X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794555 BEAR SP500 X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794563 BEAR SP500 X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794571 BEAR SP500 X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794589 BEAR SP500 X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794597 BEARSP500X8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794605 BEARSP500X10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794613 BEARSP500X12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794621 BEARSP500X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794639 BEAR NQ100 X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794647 BEAR NQ100 X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794654 BEAR NQ100 X3 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794662 BEAR NQ100 X5 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794670 BEARNQ100X8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794688 BEARNQ100X10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794696 BEARNQ100X12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794704 BEARNQ100X15NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794712 BULLGJFX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794720 BULL GJF X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794738 BULL MOWI X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794746 BULL MOWI X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794753 BULLNASX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794761 BULLNASX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794779 BEAR GJF X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794787 BEAR GJF X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794795 BEAR GJF X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794803 BEARMOWIX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794811 BEARMOWIX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794829 BEAR MOWI X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794837 BEARNASX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794845 BEARNASX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794852 BEARNASX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794860 BULL NHY X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794878 BULL NHY X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794886 BULL REC X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794894 BULLRECX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794902 BULL EQNR X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794910 BULL EQNR X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794928 BULL SUBC X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794936 BULLSUBCX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794944 BEARNHYX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794951 BEARNHYX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794969 BEAR NHY X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794977 BEARRECX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794985 BEARRECX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010794993 BEARRECX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795008 BEAR EQNR X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795016 BEAR EQNR X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795024 BEAR EQNR X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795032 BEARSUBCX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795040 BEAR SUBC X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795057 BEARSUBCX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795065 BULLTELX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795073 BULL TEL X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795081 BULL TGS X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795107 BULL YAR X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795115 BULL YAR X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795123 BEAR TEL X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795131 BEAR TEL X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795156 BEAR TEL X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795164 BEARTGSX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795172 BEARTGSX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795180 BEAR TGS X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795198 BEARYARX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795206 BEARYARX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795214 BEARYARX3NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795420 BULL TGS X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 24/05/2017 24/05/2099
NO0010795784 BULL OBX X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795792 BULL OBX X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795800 BULL OBX X3 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795818 BULL OBX X5 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795834 BULLOBXX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795859 BULLOBXX10NON 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795867 BULL SOLV X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795875 BULL SOLV X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795883 BULL SOLV X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795974 BULL SOLV X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795982 BULLSOLVX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010795990 BULLSOLVX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796006 BULLSOLVX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796014 BEAR OBX X1 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796022 BEAR OBX X2 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796030 BEAROBXX3NON 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796048 BEAR OBX X5 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796055 BEAR OBX X8 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796063 BEAROBXX10NON 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796071 BEARSOLVX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796089 BEARSOLVX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796097 BEAR SOLV X3 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796105 BEAR SOLV X5 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796113 BEARSOLVX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796121 BEARSOLVX10NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796139 BEARSOLVX12NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 02/06/2017 02/06/2099
NO0010796279 BULL GULL X5 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796287 BULL GULL X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796295 BULL GULL X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796303 LONG SOLV ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796311 BULL SOLV X3 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796329 BULL SOLV X5 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796337 BULL SOLV X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796352 BULL SOLV X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796360 BULL BRENT X10ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796378 BULL BRENT X12ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796386 BEAR GULL X1 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796394 BEAR GULL X5 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796402 BEAR GULL X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796410 BEAR GULL X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796436 BEAR SOLV X1 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796444 BEAR SOLV X3 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796451 BEAR SOLV X5 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796469 BEAR SOLV X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796477 BEAR SOLV X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796485 BEAR BRENT X1 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796493 BEAR BRENT X10ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796501 BEAR BRENT X12ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 07/06/2017 07/06/2099
NO0010796600 BULL OBX X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796618 BULL DAX X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796626 BULL DAX X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796634 BULL DAX X15 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796659 BULL OMXS X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796667 BULL OMXS X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796675 BULL OMXS X15 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796683 BEAR OBX X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796691 BEAR DAX X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796709 BEAR DAX X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796717 BEAR DAX X15 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796725 BEAR OMXS X10 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796733 BEAR OMXS X12 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796741 BEAR OMXS X15 ND Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 11/08/2017 11/08/2099
NO0010796824 BULLSX5EX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796832 BULLSX5EX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796840 BULLSX5EX3NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796857 BULL SX5E X5 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796865 BULLSX5EX8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796873 BULLSX5EX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796881 BULLSX5EX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796899 BULLSX5EX15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796907 BULL DAX X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796915 BULLDAXX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796923 BULLDAXX3NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796931 BULLDAXX5NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796949 BULL DAX X8 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796956 BULLDAXX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796964 BULLDAXX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796972 BULLDAXX15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796980 BULL OMXS30 X1 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010796998 BULL OMXS30 X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797004 BULL OMXS30 X3 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797012 BULL OMXS30 X5 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797020 BULLOMX30X8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797038 BULLOMX30X10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797046 BULLOMX30X12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797053 BULLOMX30X15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797061 BEAROMX30X1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797079 BEAROMX30X2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797087 BEAROMX30X3NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797095 BEAROMX30X5NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797103 BEAROMX30X8NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797111 BEAROMX30X10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797129 BEAROMX30X12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797137 BEAROMX30X15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797145 BEARSX5EX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797152 BEARSX5EX2NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797160 BEARSX5EX3NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797178 BEARSX5EX5NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797186 BEAR SX5E X8 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797194 BEARSX5EX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797202 BEARSX5EX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797210 BEARSX5EX15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797228 BEARDAXX1NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797236 BEAR DAX X2 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797244 BEAR DAX X3 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797251 BEAR DAX X5 NORDNET 1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797269 BEAR DAX X8 NORDNETX Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797277 BEARDAXX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797285 BEARDAXX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010797293 BEARDAXX15NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 12/06/2017 12/06/2099
NO0010801749 BULL GULL X4 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010801756 BULLOLJEX4NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010801764 BULLSOLVX4NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010801772 BEAR GULL X4 NORDNET Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010801780 BEAROLJEX4NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010801798 BEARSOLVX4NON Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 04/08/2017 04/08/2099
NO0010810716 BULLOLJEX8NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810732 BULLOLJEX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810740 BULLOLJEX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810757 BULLOLJEX8NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810765 BULLOLJEX10NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810773 BULLOLJEX12NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810781 BEAROLJEX8NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810799 BEAROLJEX10NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810807 BEAROLJEX12NON1 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810815 BEAROLJEX8NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810823 BEAROLJEX10NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010810831 BEAROLJEX12NON2 Nordea Bank Abp 17/PERP LNK 2858394-9 Linked Notes 23/11/2017 23/11/2099
NO0010822422 NODA36 PRO Nordea Bank Abp 18/25 2,72% 2858394-9 Bond 09/05/2018 09/05/2025
XS1838096441 XS1838096441 Nordea Bank Abp 18/26 1,00% 2858394-9 Bond 19/06/2018 19/06/2026
XS1920471023 XS1920471023 Nordea Bank Abp 18/28 1,847% C 2858394-9 Tier 3 13/12/2018 13/12/2028
XS1864945800 XS1864945800 Nordea Bank Abp 18/33 2,046% 2858394-9 Tier 3 10/08/2018 10/08/2033
NO0010816481 BULLBRENTX8ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816648 BULLBRENTX8ND Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816655 BULLBRENTX10ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816663 BULLBRENTX12ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816671 BULLBRENTX10ND2 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816689 BULLBRENTX12ND2 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816697 BEARBRENTX8ND Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816705 BEARBRENTX10ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816713 BEARBRENTX12ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816721 BEARBRENTX8ND1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816739 BEARBRENTX10ND2 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010816747 BEARBRENTX12ND2 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 20/02/2018 20/02/2099
NO0010818594 BULLSP500X15NNN1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 09/03/2018 09/03/2099
NO0010818602 BULLNQ100X15NNN1 Nordea Bank Abp 18/PERP LNK 2858394-9 Linked Notes 09/03/2018 09/03/2099
XS2003499386 XS2003499386 Nordea Bank Abp 19/26 0,375% 2858394-9 Bond 28/05/2019 28/05/2026
XS1959369437 XS1959369437 Nordea Bank Abp 19/26 0,589% 2858394-9 Bond 05/03/2019 05/03/2026
XS1957535120 XS1957535120 Nordea Bank Abp 19/26 0,625% 2858394-9 Bond 04/03/2019 04/03/2026
XS1958258664 XS1958258664 Nordea Bank Abp 19/34 1,305% 2858394-9 Bond 01/03/2019 01/03/2034
XS1953836183 XS1953836183 Nordea Bank Abp 19/34 1,424% 2858394-9 Bond 20/02/2019 20/02/2034
US65559D2A65 Nordea Bank Abp 19/PERP 6,625% C HYBRID 2858394-9 Tier 1 26/03/2019 26/03/2099
US65559CAA99 US65559CAA99 Nordea Bank Abp 19/PERP ADJ C HYBRID 2858394-9 Tier 1 26/03/2019 26/03/2099
XS2122542074 XS2122542074 Nordea Bank Abp 20/25 0,01% 2858394-9 Bond 19/02/2020 19/02/2025
XS2182873104 XS2182873104 Nordea Bank Abp 20/25 0,40% 2858394-9 Bond 04/06/2020 04/06/2025
NO0010882558 NODA90 Nordea Bank Abp 20/25 FRN 2858394-9 Bond 19/05/2020 19/05/2025
XS2171874519 XS2171874519 Nordea Bank Abp 20/27 0,50% 2858394-9 Bond 14/05/2020 14/05/2027
NO0011096521 NO0011096521 Nordea Bank Abp 21/25 1,75% 2858394-9 Tier 3 17/09/2021 17/09/2025
NO0011161614 NO0011161614 Nordea Bank Abp 21/26 2,35% 2858394-9 Tier 3 01/12/2021 01/12/2026
XS2403444677 XS2403444677 Nordea Bank Abp 21/28 0,50% 2858394-9 Tier 3 02/11/2021 02/11/2028
NO0011162190 NO0011162190 Nordea Bank Abp 21/29 2,52% 2858394-9 Tier 3 03/12/2021 03/12/2029
XS2321526480 XS2321526480 Nordea Bank Abp 21/31 0,50% 2858394-9 Tier 3 19/03/2021 19/03/2031
XS2343847674 XS2343847674 Nordea Bank Abp 21/31 1,385% SEK C SUB 2858394-9 Tier 2 18/05/2021 18/08/2031
NO0011145179 NO0011145179 Nordea Bank Abp 21/31 2,62% 2858394-9 Tier 3 05/11/2021 05/11/2031
XS2343459074 XS2343459074 Nordea Bank Abp 21/31 ADJ C SUB 2858394-9 Tier 2 18/05/2021 18/08/2031
XS2343845389 XS2343845389 Nordea Bank Abp 21/31 FRN SEK C SUB 2858394-9 Tier 2 18/05/2021 18/08/2031
XS2385122630 XS2385122630 Nordea Bank Abp 21/32 ADJ GBP C SUB 2858394-9 Tier 2 09/09/2021 09/12/2032
US65559CAD39 Nordea Bank Abp 21/PERP 3,75% C HYBRID 2858394-9 Tier 1 01/09/2021 01/09/2099
US65559D2D05 US65559D2D05 Nordea Bank Abp 21/PERP 3,75% C HYBRID 2858394-9 Tier 1 01/09/2021 01/09/2099
XS2532378721 XS2532378721 Nordea Bank Abp 22/25 3,78% SEK 2858394-9 Bond 15/09/2022 15/09/2025
XS2485285246 XS2485285246 Nordea Bank Abp 22/25 FRN SEK 2858394-9 Bond 27/05/2022 27/05/2025
XS2532378051 XS2532378051 Nordea Bank Abp 22/25 FRN SEK 2858394-9 Bond 15/09/2022 15/09/2025
XS2526111187 XS2526111187 Nordea Bank Abp 22/26 FRN SEK 2858394-9 Tier 3 25/08/2022 25/08/2026
XS2443893255 XS2443893255 Nordea Bank Abp 22/27 1,125% 2858394-9 Tier 3 16/02/2022 16/02/2027
NO0012540105 NODA92 Nordea Bank Abp 22/27 3,90% 2858394-9 Tier 3 08/06/2022 08/06/2027
NO0012635160 NODA94 Nordea Bank Abp 22/27 4,52% 2858394-9 Tier 3 01/09/2022 01/09/2027
NO0012697822 NODA95 Nordea Bank Abp 22/27 4,655% 2858394-9 Bond 15/09/2022 15/09/2027
NO0012540147 NODA93 Nordea Bank Abp 22/27 FRN 2858394-9 Tier 3 08/06/2022 08/06/2027
NO0012697814 NODA96 Nordea Bank Abp 22/27 FRN 2858394-9 Bond 15/09/2022 15/09/2027
NO0012439530 NODA91 Nordea Bank Abp 22/28 2,95% 2858394-9 Tier 3 11/02/2022 11/02/2028
XS2482618464 XS2482618464 Nordea Bank Abp 22/29 2,50% 2858394-9 Tier 3 23/05/2022 23/05/2029
XS2524740649 XS2524740649 Nordea Bank Abp 22/32 2,875% 2858394-9 Tier 3 24/08/2022 24/08/2032
XS2531924533 XS2531924533 Nordea Bank Abp 22/34 3,80% 2858394-9 Tier 3 12/09/2022 12/09/2034
XS2497077243 XS2497077243 Nordea Bank Abp 22/34 3,873% 2858394-9 Tier 3 30/06/2022 30/06/2034
XS2631864787 XS2631864787 Nordea Bank Abp 23/26 4,75% SEK 2858394-9 Tier 3 02/06/2023 02/06/2026
XS2584643113 XS2584643113 Nordea Bank Abp 23/26 ADJ C 2858394-9 Tier 3 10/02/2023 10/02/2026
XS2676816940 XS2676816940 Nordea Bank Abp 23/26 ADJ C 2858394-9 Tier 3 06/09/2023 06/09/2026
XS2630401631 XS2630401631 Nordea Bank Abp 23/26 ADJ GBP C 2858394-9 Tier 3 02/06/2023 02/06/2026
XS2631851701 XS2631851701 Nordea Bank Abp 23/26 FRN SEK 2858394-9 Tier 3 02/06/2023 02/06/2026
XS2618906585 XS2618906585 Nordea Bank Abp 23/28 4,125% 2858394-9 Tier 3 05/05/2023 05/05/2028
NO0012933524 NODA97 ESG Nordea Bank Abp 23/28 5,01% 2858394-9 Tier 3 06/06/2023 06/06/2028
NO0012933516 NODA98 ESG Nordea Bank Abp 23/28 FRN 2858394-9 Tier 3 06/06/2023 06/06/2028
NO0012989369 Nordea Bank Abp 23/32 5,48% 2858394-9 Tier 3 18/08/2023 18/08/2032
XS2723860990 XS2723860990 Nordea Bank Abp 23/34 ADJ C SUB 2858394-9 Tier 2 23/11/2023 23/02/2034
XS2906245688 XS2906245688 Nordea Bank Abp 24/27 2,485% SEK 2858394-9 Bond 24/09/2024 24/09/2027
XS2906244368 XS2906244368 Nordea Bank Abp 24/27 FRN SEK 2858394-9 Bond 24/09/2024 24/09/2027
XS2837788947 XS2837788947 Nordea Bank Abp 24/29 3,375% 2858394-9 Bond 11/06/2024 11/06/2029
XS2899774579 XS2899774579 Nordea Bank Abp 24/29 4,50% GBP 2858394-9 Bond 12/09/2024 12/10/2029
NO0013339093 NODA99 Nordea Bank Abp 24/30 4,04% 2858394-9 Bond 25/09/2024 25/03/2030
NO0013339101 NODA100 Nordea Bank Abp 24/30 FRN 2858394-9 Bond 25/09/2024 25/03/2030
XS2927515598 XS2927515598 Nordea Bank Abp 24/31 3,00% 2858394-9 Tier 3 28/10/2024 28/10/2031
XS2784667011 XS2784667011 Nordea Bank Abp 24/34 3,625% 2858394-9 Tier 3 15/03/2024 15/03/2034
XS2828791074 XS2828791074 Nordea Bank Abp 24/35 4,125% C SUB 2858394-9 Tier 2 29/05/2024 29/05/2035
NO0013405712 NO0013405712 Nordea Bank Abp 24/35 FRN C SUB 2858394-9 Tier 2 21/11/2024 21/05/2035
USX60003AC87 USX60003AC87 Nordea Bank Abp 24/PERP 6,30% C HYBRID 2858394-9 Tier 1 25/09/2024 25/09/2099
XS2898090746 XS2898090746 Nordea Bank Abp 24/PERP FRN NOK C HYBRID 2858394-9 Tier 1 06/09/2024 06/09/2099
XS2898085589 XS2898085589 Nordea Bank Abp 24/PERP FRN SEK C HYBRID 2858394-9 Tier 1 06/09/2024 06/09/2099
FI4000577184 NBHS 100M EUR 2031 Nordea Hypotek AB 24/31 FRN C COVD 556091-5448 Bond 04/07/2024 04/07/2031
XS2758065010 XS2758065010 Nordea Mortgag Plc 24/27 FRN STEP C COVD 2743219-6 Bond 31/01/2024 31/01/2027
XS1204140971 XS1204140971 Nordea Mortgage Bank P 15/27 0,625% COVD 2743219-6 Bond 17/03/2015 17/03/2027
XS1825134742 XS1825134742 Nordea Mortgage Bank P 18/25 0,625% COVD 2743219-6 Bond 23/05/2018 23/05/2025
XS1784071042 XS1784071042 Nordea Mortgage Bank P 18/33 1,375% COVD 2743219-6 Bond 28/02/2018 28/02/2033
XS2013525410 XS2013525410 Nordea Mortgage Bank P 19/27 0,125% COVD 2743219-6 Bond 18/06/2019 18/06/2027
XS1963717704 XS1963717704 Nordea Mortgage Bank Pl 19/26 0,25% COVD 2743219-6 Bond 18/03/2019 18/03/2026
XS2561746855 XS2561746855 Nordea Mortgage Bank Pl 22/25 ADJ C COVD 2743219-6 Bond 01/12/2022 01/12/2025
XS2463702907 XS2463702907 Nordea Mortgage Bank Pl 22/29 1,00% COVD 2743219-6 Bond 30/03/2022 30/03/2029
XS2532376949 XS2532376949 Nordea Mortgage Bank Pl 22/32 ADJ C COVD 2743219-6 Bond 14/09/2022 14/09/2032
XS2673972795 XS2673972795 Nordea Mortgage Bank Pl 23/26 ADJ C COVD 2743219-6 Bond 31/08/2023 31/08/2026
XS2708690685 XS2708690685 Nordea Mortgage Bank Pl 23/28 ADJ C COVD 2743219-6 Bond 26/10/2023 26/10/2028
XS2589317697 XS2589317697 Nordea Mortgage Bank Pl 23/30 ADJ C COVD 2743219-6 Bond 20/02/2023 20/02/2030
XS2758065796 XS2758065796 Nordea Mortgage Bank Pl 24/31 ADJ C COVD 2743219-6 Bond 31/01/2024 31/01/2031
XS2802191937 XS2802191937 Nordea Mortgage Bank Pl 24/34 ADJ C COVD 2743219-6 Bond 12/04/2024 12/04/2034
XS2157194643 XS2157194643 Nordea Mortgage Bank Plc 20/25 FRN COVD 2743219-6 Bond 16/04/2020 16/11/2025
XS2793358305 EMTN 1357 Nordic Investment 24/29 5,03% USD STEP C 1956870-4 Bond 02/04/2024 02/04/2029
XS2823935221 EMTN 1376 Nordic Investment Ba 24/34 3,805% STEP C 1956870-4 Bond 27/05/2024 27/05/2034
XS0232189331 XS0232189331 Nordic Investment Ban 05/25 7,00% STEP C 1956870-4 Bond 17/10/2005 17/10/2025
XS2845233423 EMTN 1382 Nordic Investment Ban 24/34 3,90% STEP C 1956870-4 Bond 20/06/2024 20/06/2034
XS0702014027 XS0702014027 Nordic Investment Bank 11/26 4,00% NOK 1956870-4 Bond 04/11/2011 04/11/2026
XS0691868581 XS0691868581 Nordic Investment Bank 11/31 2,94% SEK 1956870-4 Bond 17/10/2011 17/10/2031
XS0824127277 XS0824127277 Nordic Investment Bank 12/32 2,75% SEK 1956870-4 Bond 07/09/2012 07/09/2032
XS1185971923 XS1185971923 Nordic Investment Bank 15/25 1,50% NOK 1956870-4 Bond 10/02/2015 13/03/2025
XS1280260537 XS1280260537 Nordic Investment Bank 15/35 0% C 1956870-4 Bond 27/08/2015 27/08/2035
XS1524592034 Nordic Investment Bank 16/46 0% USD C 1956870-4 Bond 23/11/2016 23/11/2046
XS1527284845 Nordic Investment Bank 16/46 0% USD C 1956870-4 Bond 29/11/2016 29/11/2046
XS1527735440 Nordic Investment Bank 16/52 1,5275% C 1956870-4 Bond 30/11/2016 30/11/2052
XS1599190565 Nordic Investment Bank 17/25 0,145% 1956870-4 Bond 18/04/2017 22/04/2025
XS1555549085 XS1555549085 Nordic Investment Bank 17/37 2,136% NOK 1956870-4 Bond 02/02/2017 02/02/2037
XS1550165663 Nordic Investment Bank 17/47 0% USD C 1956870-4 Bond 17/01/2017 17/01/2047
XS1555708228 Nordic Investment Bank 17/47 0% USD C 1956870-4 Bond 26/01/2017 26/01/2047
XS1551072785 Nordic Investment Bank 17/47 1,662% C 1956870-4 Bond 17/01/2017 17/01/2047
XS1562602661 Nordic Investment Bank 17/47 1,705% C 1956870-4 Bond 09/02/2017 09/02/2047
XS1578073824 XS1578073824 Nordic Investment Bank 17/47 2,17% SEK 1956870-4 Bond 13/03/2017 07/03/2047
XS1578082148 XS1578082148 Nordic Investment Bank 17/47 2,17% SEK 1956870-4 Bond 15/03/2017 07/03/2047
XS1569880658 Nordic Investment Bank 17/47 6,10% USD C 1956870-4 Bond 23/02/2017 23/02/2047
XS1556265186 Nordic Investment Bank 17/48 1,748% C 1956870-4 Bond 27/01/2017 27/01/2048
XS1555170007 Nordic Investment Bank 17/59 0% C 1956870-4 Bond 24/01/2017 24/01/2059
XS1815070633 XS1815070633 Nordic Investment Bank 18/25 0,50% 1956870-4 Bond 03/05/2018 03/11/2025
XS1768066729 XS1768066729 Nordic Investment Bank 18/25 1,05% SEK 1956870-4 Bond 12/02/2018 12/05/2025
XS1760125523 XS1760125523 Nordic Investment Bank 18/28 1,375% SEK 1956870-4 Bond 29/01/2018 27/01/2028
XS1824451428 XS1824451428 Nordic Investment Bank 18/38 2,50% NOK 1956870-4 Bond 01/06/2018 01/06/2038
XS1781808354 Nordic Investment Bank 18/48 0,00% C 1956870-4 Bond 28/02/2018 28/02/2048
XS1791755843 Nordic Investment Bank 18/48 1,88% C 1956870-4 Bond 16/03/2018 16/03/2048
XS2055786763 XS2055786763 Nordic Investment Bank 19/26 0% 1956870-4 Bond 25/09/2019 25/09/2026
XS2020698515 EMTN_1089 Nordic Investment Bank 19/39 0,375% DKK 1956870-4 Bond 01/07/2019 01/07/2039
XS2243312407 EMTN 1132 Nordic Investment Bank 20/25 0,10% SEK 1956870-4 Bond 13/10/2020 13/10/2025
XS2166209176 EMTN 1117 Nordic Investment Bank 20/27 0% 1956870-4 Bond 30/04/2020 30/04/2027
XS2346987709 Nordic Investment Bank 21/25 FRN USD 1956870-4 Bond 27/05/2021 27/05/2025
XS2400452731 EMTN 1180 Nordic Investment Bank 21/26 0,375% SEK 1956870-4 Bond 20/10/2021 20/10/2026
XS2405342580 XS2405342580 Nordic Investment Bank 21/26 1,2325% HKD 1956870-4 Bond 04/11/2021 04/11/2026
XS2288948776 XS2288948776 Nordic Investment Bank 21/26 FRN NOK 1956870-4 Bond 19/01/2021 19/01/2026
XS2400452228 EMTN 1181 Nordic Investment Bank 21/27 1,625% NOK 1956870-4 Bond 20/10/2021 20/10/2027
XS2398710207 EMTN 1179 Nordic Investment Bank 21/31 0,185% 1956870-4 Bond 21/10/2021 21/10/2031
XS2340884597 EMTN 1160 Nordic Investment Bank 21/31 0,23% 1956870-4 Bond 26/05/2021 26/05/2031
XS2404976461 EMTN 1186 Nordic Investment Bank 21/31 0,34% 1956870-4 Bond 11/11/2021 11/11/2031
XS2337449214 XS2337449214 Nordic Investment Bank 21/36 0,57% C 1956870-4 Bond 05/05/2021 05/05/2036
XS2386950070 XS2386950070 Nordic Investment Bank 21/36 1,73% NOK 1956870-4 Bond 15/09/2021 15/09/2036
XS2386951557 XS2386951557 Nordic Investment Bank 21/36 1,88% NOK 1956870-4 Bond 15/09/2021 15/09/2036
XS2332871990 EMTN 1157 Nordic Investment Bank 21/41 0,83% 1956870-4 Bond 19/04/2021 19/04/2041
XS2329761956 Nordic Investment Bank 21/41 0,93% 1956870-4 Bond 12/04/2021 12/04/2041
XS2325746407 Nordic Investment Bank 21/41 0,94% 1956870-4 Bond 30/03/2021 30/03/2041
XS2401553115 EMTN 1182 Nordic Investment Bank 21/41 1,01% 1956870-4 Bond 25/10/2021 25/04/2041
XS2343528571 Nordic Investment Bank 21/41 1,05% 1956870-4 Bond 24/05/2021 24/05/2041
XS2569318939 XS2569318939 Nordic Investment Bank 22/24 4,30% USD 1956870-4 Bond 21/12/2022 20/12/2024
XS2567385625 XS2567385625 Nordic Investment Bank 22/24 4,48% USD 1956870-4 Bond 16/12/2022 16/12/2024
XS2541613571 EMTN 1257 Nordic Investment Bank 22/25 2,63% 1956870-4 Bond 06/10/2022 06/10/2025
XS2490926065 XS2490926065 Nordic Investment Bank 22/26 2,375% GBP 1956870-4 Bond 15/06/2022 22/07/2026
XS2501906627 EMTN 1242 Nordic Investment Bank 22/27 1,48% 1956870-4 Bond 22/07/2022 22/07/2027
XS2558411141 EMTN 1268 Nordic Investment Bank 22/27 2,74% C 1956870-4 Bond 25/11/2022 25/11/2027
XS2524004350 XS2524004350 Nordic Investment Bank 22/27 3,00% NOK 1956870-4 Bond 23/08/2022 23/08/2027
XS2548946560 EMTN 1260 Nordic Investment Bank 22/27 3,25% SEK 1956870-4 Bond 24/10/2022 24/10/2027
XS2569312577 XS2569312577 Nordic Investment Bank 22/27 FRN 1956870-4 Bond 21/12/2022 21/12/2027
XS2537110947 EMTN 1254 Nordic Investment Bank 22/27 FRN CAP 1956870-4 Bond 03/10/2022 03/10/2027
XS2461770070 XS2461770070 Nordic Investment Bank 22/27 FRN NOK 1956870-4 Bond 24/03/2022 24/03/2027
XS2454249652 EMTN 1211 Nordic Investment Bank 22/29 0,25% 1956870-4 Bond 09/03/2022 09/03/2029
XS2437424398 EMTN 1196 Nordic Investment Bank 22/30 0,125% DKK 1956870-4 Bond 28/01/2022 28/01/2030
XS2534984633 EMTN 1252 Nordic Investment Bank 22/30 FRN 1956870-4 Bond 27/09/2022 27/09/2030
XS2440451115 EMTN 1199 Nordic Investment Bank 22/32 0,30% 1956870-4 Bond 03/02/2022 03/02/2032
XS2569073997 EMTN 1277 Nordic Investment Bank 22/32 3,12% C 1956870-4 Bond 20/12/2022 20/12/2032
XS2566360694 EMTN 1274 Nordic Investment Bank 22/32 3,507% C 1956870-4 Bond 16/12/2022 16/12/2032
XS2550468610 Nordic Investment Bank 22/32 5,05% USD C 1956870-4 Bond 28/10/2022 28/10/2032
XS2440450737 EMTN 1198 Nordic Investment Bank 22/34 0,40% 1956870-4 Bond 10/02/2022 10/02/2034
XS2555919914 XS2555919914 Nordic Investment Bank 22/34 3,71% NOK 1956870-4 Bond 15/11/2022 15/11/2034
XS2466356339 XS2466356339 Nordic Investment Bank 22/37 2,53% NOK 1956870-4 Bond 07/04/2022 07/04/2037
XS2547271994 EMTN 1259 Nordic Investment Bank 22/37 3,92% C 1956870-4 Bond 19/10/2022 19/10/2037
XS2502015329 EMTN 1241 Nordic Investment Bank 22/42 0% USD C 1956870-4 Bond 21/07/2022 21/07/2042
XS2532349623 XS2532349623 Nordic Investment Bank 22/42 0% USD C 1956870-4 Bond 22/09/2022 22/09/2042
XS2564852908 XS2564852908 Nordic Investment Bank 22/42 0% USD C 1956870-4 Bond 16/12/2022 16/12/2042
XS2441655755 EMTN 1201 Nordic Investment Bank 22/42 1,00% 1956870-4 Bond 14/02/2022 14/02/2042
XS2526088930 EMTN 1246 Nordic Investment Bank 22/42 2,466% 1956870-4 Bond 25/08/2022 25/08/2042
XS2661932629 EMTN 1310 Nordic Investment Bank 23/25 4,945% USD 1956870-4 Bond 02/08/2023 02/08/2025
XS2677539038 XS2677539038 Nordic Investment Bank 23/25 5,40% GBP 1956870-4 Bond 07/09/2023 07/09/2025
XS2652083390 EMTN 1304 Nordic Investment Bank 23/26 3,35% 1956870-4 Bond 20/07/2023 20/07/2026
XS2579711636 Nordic Investment Bank 23/26 3,70% HKD 1956870-4 Bond 27/01/2023 27/01/2026
XS2580724487 EMTN 1284 Nordic Investment Bank 23/26 3,75% USD 1956870-4 Bond 27/01/2023 27/05/2026
XS2578472412 Nordic Investment Bank 23/26 3,875% GBP 1956870-4 Bond 20/01/2023 19/02/2026
XS2687915749 EMTN 1319 Nordic Investment Bank 23/26 5,06% USD C 1956870-4 Bond 15/09/2023 15/09/2026
XS2690013722 EMTN 1321 Nordic Investment Bank 23/28 3,50% SEK 1956870-4 Bond 22/09/2023 22/09/2028
XS2667017136 EMTN 1311 Nordic Investment Bank 23/28 4,50% NOK 1956870-4 Bond 14/08/2023 26/04/2028
XS2580871437 EMTN 1286 Nordic Investment Bank 23/28 FRN NOK 1956870-4 Bond 27/01/2023 27/01/2028
XS2706207441 EMTN 1325 Nordic Investment Bank 23/28 FRN USD CAP 1956870-4 Bond 25/10/2023 25/10/2028
XS2706259673 EMTN 1326 Nordic Investment Bank 23/28 FRN USD CAP 1956870-4 Bond 26/10/2023 26/10/2028
XS2706347296 EMTN 1327 Nordic Investment Bank 23/28 FRN USD CAP 1956870-4 Bond 26/10/2023 26/10/2028
XS2654113120 EMTN 1307 Nordic Investment Bank 23/29 3,765% C 1956870-4 Bond 20/07/2023 20/07/2029
XS2580868482 EMTN 1285 Nordic Investment Bank 23/30 2,50% 1956870-4 Bond 30/01/2023 30/01/2030
XS2671143829 EMTN 1313 Nordic Investment Bank 23/31 3,825% C 1956870-4 Bond 25/08/2023 25/08/2031
XS2684957546 EMTN 1317 Nordic Investment Bank 23/31 5,00% USD C 1956870-4 Bond 21/09/2023 21/09/2031
XS2636325081 EMTN 1297 Nordic Investment Bank 23/33 3,03% C 1956870-4 Bond 13/06/2023 13/06/2033
XS2643780443 EMTN 1300 Nordic Investment Bank 23/33 3,54% 1956870-4 Bond 30/06/2023 30/06/2033
XS2637129607 EMTN 1299 Nordic Investment Bank 23/33 3,73% C 1956870-4 Bond 22/06/2023 22/06/2033
XS2587266854 Nordic Investment Bank 23/35 3,125% NOK 1956870-4 Bond 16/02/2023 16/02/2035
XS2734214328 EMTN 1334 Nordic Investment Bank 23/35 3,445% C 1956870-4 Bond 14/12/2023 14/12/2035
XS2584646215 EMTN 1289 Nordic Investment Bank 23/38 3,581% C 1956870-4 Bond 08/02/2023 08/02/2038
XS2690045682 EMTN 1320 Nordic Investment Bank 23/38 3,75% C 1956870-4 Bond 27/09/2023 27/09/2038
XS2651658184 EMTN 1303 Nordic Investment Bank 23/38 4,00% C 1956870-4 Bond 20/07/2023 20/07/2038
XS2652058285 EMTN 1306 Nordic Investment Bank 23/38 4,00% C 1956870-4 Bond 20/07/2023 20/07/2038
XS2601784239 XS2601784239 Nordic Investment Bank 23/43 0% USD C 1956870-4 Bond 29/03/2023 29/03/2043
XS2672267924 EMTN 1314 Nordic Investment Bank 23/43 0% USD C 1956870-4 Bond 28/08/2023 28/08/2043
XS2734821056 EMTN 1335 Nordic Investment Bank 23/43 0% USD C 1956870-4 Bond 21/12/2023 21/12/2043
XS2915431626 EMTN 1405 Nordic Investment Bank 24/26 2,9675% HKD 1956870-4 Bond 09/10/2024 09/10/2026
XS2764855552 Nordic Investment Bank 24/26 3,86% HKD 1956870-4 Bond 14/02/2024 14/02/2026
XS2797333395 EMTN 1359 Nordic Investment Bank 24/26 3,987% HKD 1956870-4 Bond 08/04/2024 08/04/2026
XS2776669793 XS2776669793 Nordic Investment Bank 24/26 5,00% PLN 1956870-4 Bond 04/03/2024 04/03/2026
XS2809172229 Nordic Investment Bank 24/27 2,81% CNY 1956870-4 Bond 26/04/2024 26/04/2027
XS2806483611 EMTN 1366 Nordic Investment Bank 24/27 2,935% 1956870-4 Bond 22/04/2024 22/04/2027
XS2916977049 Nordic Investment Bank 24/27 3,15% HKD 1956870-4 Bond 15/10/2024 15/10/2027
XS2917881810 EMTN1407 Nordic Investment Bank 24/27 3,185% HKD 1956870-4 Bond 16/10/2024 18/10/2027
XS2919211594 EMTN1410 Nordic Investment Bank 24/27 3,478% HKD 1956870-4 Bond 15/10/2024 15/10/2027
XS2764265166 Nordic Investment Bank 24/27 3,58% HKD 1956870-4 Bond 09/02/2024 09/02/2027
XS2765561936 Nordic Investment Bank 24/27 3,745% HKD 1956870-4 Bond 15/02/2024 15/02/2027
XS2771423923 Nordic Investment Bank 24/27 3,95% HKD 1956870-4 Bond 23/02/2024 23/02/2027
XS2775728343 Nordic Investment Bank 24/27 3,95% HKD 1956870-4 Bond 01/03/2024 01/03/2027
XS2766752062 XS2766752062 Nordic Investment Bank 24/27 4,125% GBP 1956870-4 Bond 14/02/2024 22/07/2027
XS2809179315 Nordic Investment Bank 24/27 4,24% HKD 1956870-4 Bond 24/04/2024 24/04/2027
XS2809860385 Nordic Investment Bank 24/27 4,90% USD 1956870-4 Bond 25/04/2024 26/04/2027
XS2914656926 Nordic Investment Bank 24/27 FRN 1956870-4 Bond 08/10/2024 21/12/2027
XS2744926788 EMTN 1337 Nordic Investment Bank 24/27 FRN USD 1956870-4 Bond 10/01/2024 10/01/2027
XS2748276537 EMTN 1338 Nordic Investment Bank 24/27 FRN USD 1956870-4 Bond 16/01/2024 16/01/2027
XS2884073128 EMTN 1391 Nordic Investment Bank 24/27 FRN USD 1956870-4 Bond 20/08/2024 20/08/2027
XS2911777782 XS2911777782 Nordic Investment Bank 24/27 FRN USD 1956870-4 Bond 04/10/2024 04/10/2027
XS2801321527 XS2801321527 Nordic Investment Bank 24/28 4,00% GBP 1956870-4 Bond 11/04/2024 11/10/2028
XS2898821033 EMTN 1396 Nordic Investment Bank 24/29 2,375% 1956870-4 Bond 11/09/2024 11/09/2029
XS2849666941 NIB EMTN 1383 Nordic Investment Bank 24/29 2,625% SEK 1956870-4 Bond 28/06/2024 28/06/2029
XS2772078189 EMTN 1352 Nordic Investment Bank 24/29 3,01% C 1956870-4 Bond 23/02/2024 23/02/2029
XS2750344447 EMTN 1340 Nordic Investment Bank 24/29 FRN NOK 1956870-4 Bond 18/01/2024 18/01/2029
XS2791973303 EMTN 1356 Nordic Investment Bank 24/29 FRN NOK 1956870-4 Bond 25/03/2024 25/09/2029
XS2887824402 EMTN 1392 Nordic Investment Bank 24/29 FRN USD 1956870-4 Bond 27/08/2024 27/08/2029
XS2887837727 EMTN 1393 Nordic Investment Bank 24/29 FRN USD 1956870-4 Bond 27/08/2024 27/08/2029
XS2901992045 EMTN 1398 Nordic Investment Bank 24/31 2,25% SEK 1956870-4 Bond 16/09/2024 16/09/2031
XS2753549703 EMTN 1341 Nordic Investment Bank 24/31 2,625% 1956870-4 Bond 24/01/2024 24/01/2031
XS2758131507 EMTN 1344 Nordic Investment Bank 24/31 3,325% C 1956870-4 Bond 31/01/2024 31/01/2031
XS2800680121 EMTN 1360 Nordic Investment Bank 24/31 FRN 1956870-4 Bond 10/04/2024 10/04/2031
XS2764409772 EMTN 1345 Nordic Investment Bank 24/31 FRN USD CAP 1956870-4 Bond 07/02/2024 07/02/2031
XS2914771352 EMTN 1404 Nordic Investment Bank 24/32 2,70% C 1956870-4 Bond 08/10/2024 08/10/2032
XS2819218434 EMTN 1375 Nordic Investment Bank 24/32 3,16% C 1956870-4 Bond 24/05/2024 24/05/2032
XS2811961205 EMTN1371 Nordic Investment Bank 24/32 3,42% C 1956870-4 Bond 30/04/2024 30/04/2032
XS2862895336 EMTN 1388 Nordic Investment Bank 24/32 FRN 1956870-4 Bond 17/07/2024 17/07/2032
XS2805523052 EMTN 1364 Nordic Investment Bank 24/33 3,38% C 1956870-4 Bond 26/04/2024 26/04/2033
XS2841184992 EMTN 1380 Nordic Investment Bank 24/34 0% USD C 1956870-4 Bond 20/06/2024 20/06/2034
XS2802909635 EMTN 1362 Nordic Investment Bank 24/34 3,60% C 1956870-4 Bond 17/04/2024 17/04/2034
XS2837117733 EMTN 1378 Nordic Investment Bank 24/34 3,71% C 1956870-4 Bond 06/06/2024 06/06/2034
XS2818311511 EMTN 1374 Nordic Investment Bank 24/34 5,73% USD C 1956870-4 Bond 10/05/2024 10/05/2034
XS2754461148 EMTN 1342 Nordic Investment Bank 24/34 FRN CAP 1956870-4 Bond 31/01/2024 31/01/2034
XS2866519841 EMTN 1390 Nordic Investment Bank 24/34 FRN CAP 1956870-4 Bond 31/07/2024 31/07/2034
XS2855473000 EMTN 1387 Nordic Investment Bank 24/34 FRN USD CAP 1956870-4 Bond 05/07/2024 05/07/2034
XS2765569913 EMTN 1349 Nordic Investment Bank 24/35 3,775% NOK 1956870-4 Bond 13/02/2024 13/02/2035
XS2755780702 EMTN 1343 Nordic Investment Bank 24/36 3,60% C 1956870-4 Bond 26/01/2024 26/01/2036
XS2909825700 EMTN 1400 Nordic Investment Bank 24/36 3,73% NOK 1956870-4 Bond 30/09/2024 30/09/2036
XS2909713658 EMTN 1399 Nordic Investment Bank 24/39 0% USD C 1956870-4 Bond 27/09/2024 27/09/2039
XS2911017395 EMTN 1401 Nordic Investment Bank 24/39 0% USD C 1956870-4 Bond 08/10/2024 08/10/2039
XS2919122494 EMTN1409 Nordic Investment Bank 24/39 0% USD C 1956870-4 Bond 15/10/2024 15/10/2039
XS2810293048 EMTN 1370 Nordic Investment Bank 24/39 3,67% C 1956870-4 Bond 29/04/2024 29/04/2039
XS2919727219 EMTN 1411 Nordic Investment Bank 24/44 3,452% C 1956870-4 Bond 17/10/2024 17/10/2044
XS2794633318 EMTN 1358 Nordic Investment Bank 24/44 3,75% C 1956870-4 Bond 28/03/2024 28/03/2044
FI4000552880 Normet Group Oy 23/PERP ADJ C SUB 1954515-8 Bond 19/06/2023 19/06/2099
FI4000566567 Nortal AS 24/29 FRN C 10391131 Bond 09/02/2024 09/02/2029
FI4000466412 OMASP25112027 Oma Säästöpankki Oy 20/27 ADJ C COVD 2231936-2 Bond 25/11/2020 25/11/2027
FI4000513577 OMASP19052025 Oma Säästöpankki Oy 21/25 FRN 2231936-2 Bond 19/11/2021 19/05/2025
FI4000522974 OMASP18122026 Oma Säästöpankki Oy 22/26 ADJ C COVD 2231936-2 Bond 18/05/2022 18/12/2026
FI4000549035 OMASP15062028 Oma Säästöpankki Oy 23/28 ADJ C COVD 2231936-2 Bond 15/02/2023 15/06/2028
FI4000562095 OMASP15012029 Oma Säästöpankki Oy 23/29 ADJ C COVD 2231936-2 Bond 15/11/2023 15/01/2029
XS2182066543 XS2182066543 OP Corporate Bank pl 20/30 FRN SEK C SUB 0199920-7 Tier 2 03/06/2020 03/06/2030
XS1296897579 XS1296897579 OP Corporate Bank plc ( 15/25 2,405% SUB 0199920-7 Tier 2 25/09/2015 25/09/2025
XS2027592547 OP Corporate Bank plc ( 19/29 2,933% USD 0199920-7 Tier 3 17/07/2019 17/07/2029
XS2393539080 XS2393539080 OP Corporate Bank plc ( 21/26 1,375% GBP 0199920-7 Tier 3 05/10/2021 04/09/2026
XS2489652581 XS2489652581 OP Corporate Bank plc ( 22/26 3,375% GBP 0199920-7 Bond 14/06/2022 14/01/2026
XS2549803588 XS2549803588 OP Corporate Bank plc ( 22/26 4,454% SEK 0199920-7 Bond 25/10/2022 23/10/2026
XS2484101246 XS2484101246 OP Corporate Bank plc ( 22/29 3,755% NOK 0199920-7 Bond 25/05/2022 25/05/2029
XS1069616206 XS1069616206 OP Corporate Bank plc (O 14/29 3,80% NOK 0199920-7 Bond 27/05/2014 27/05/2029
XS2023639110 OP Corporate Bank plc (O 19/29 2,44% AUD 0199920-7 Bond 10/07/2019 10/07/2029
XS2185867673 XS2185867673 OP Corporate Bank plc (O 20/30 ADJ C SUB 0199920-7 Tier 2 09/06/2020 09/06/2030
XS2556152622 XS2556152622 OP Corporate Bank plc (O 22/25 0,70% JPY 0199920-7 Bond 17/11/2022 17/11/2025
XS2562985205 XS2562985205 OP Corporate Bank plc (O 22/29 4,40% NOK 0199920-7 Bond 07/12/2022 07/12/2029
XS2554907613 XS2554907613 OP Corporate Bank plc (O 22/32 5,01% NOK 0199920-7 Bond 11/11/2022 11/11/2032
XS2557081473 XS2557081473 OP Corporate Bank plc (OP 22/25 FRN GBP 0199920-7 Bond 18/11/2022 18/11/2025
XS2523320229 XS2523320229 OP Corporate Bank plc (OP 22/25 FRN SEK 0199920-7 Bond 23/08/2022 23/12/2025
XS2554866249 XS2554866249 OP Corporate Bank plc (OP 22/26 FRN SEK 0199920-7 Bond 16/11/2022 16/02/2026
XS2522673107 XS2522673107 OP Corporate Bank plc (OP 22/27 FRN SEK 0199920-7 Bond 19/08/2022 19/08/2027
XS2556936115 XS2556936115 OP Corporate Bank plc (OP 22/32 4,1475% 0199920-7 Bond 23/11/2022 23/11/2032
XS1050669537 XS1050669537 OP Corporate Bank plc (OP Y 14/34 3,015% 0199920-7 Bond 31/03/2014 31/03/2034
XS1048099367 XS1048099367 OP Corporate Bank plc (OP Y 14/34 3,068% 0199920-7 Bond 21/03/2014 21/03/2034
XS1321408988 XS1321408988 OP Corporate Bank plc (OP Y 15/30 2,045% 0199920-7 Bond 18/11/2015 18/11/2030
XS1323474251 XS1323474251 OP Corporate Bank plc (OP Y 15/35 2,155% 0199920-7 Bond 20/11/2015 20/11/2035
XS1352072091 XS1352072091 OP Corporate Bank plc (OP Y 16/31 1,865% 0199920-7 Bond 27/01/2016 27/01/2031
XS1617512865 XS1617512865 OP Corporate Bank plc (OP Y 17/27 1,058% 0199920-7 Bond 22/05/2017 18/05/2027
XS1920026058 XS1920026058 OP Corporate Bank plc (OP Y 18/33 1,706% 0199920-7 Bond 12/12/2018 12/12/2033
XS2078667925 XS2078667925 OP Corporate Bank plc (OP Y 19/29 0,625% 0199920-7 Tier 3 12/11/2019 12/11/2029
XS2354246816 XS2354246816 OP Corporate Bank plc (OP Y 21/28 0,375% 0199920-7 Tier 3 16/06/2021 16/06/2028
XS2384473992 XS2384473992 OP Corporate Bank plc (OP Y 21/28 0,375% 0199920-7 Tier 3 08/09/2021 08/12/2028
XS2530506752 XS2530506752 OP Corporate Bank plc (OP Y 22/25 2,875% 0199920-7 Bond 15/09/2022 15/12/2025
XS2436853035 XS2436853035 OP Corporate Bank plc (OP Y 22/27 0,625% 0199920-7 Tier 3 27/01/2022 27/07/2027
XS2485147958 XS2485147958 OP Corporate Bank plc (OP Y 22/27 1,873% 0199920-7 Bond 25/05/2022 25/05/2027
XS2546781555 XS2546781555 OP Corporate Bank plc (OP Y 22/27 4,125% 0199920-7 Bond 18/10/2022 18/04/2027
XS1054250748 XS1054250748 OP Corporate Bank plc (OP Yr 14/34 3,00% 0199920-7 Bond 07/04/2014 11/04/2034
XS1823485039 XS1823485039 OP Corporate Bank plc (OP Yr 18/25 1,00% 0199920-7 Bond 22/05/2018 22/05/2025
XS2020698192 XS2020698192 OP Corporate Bank plc (OP Yr 19/26 0,25% 0199920-7 Bond 01/07/2019 01/07/2026
XS1934816395 XS1934816395 OP Corporate Bank plc (OP Yr 19/26 0,91% 0199920-7 Bond 14/01/2019 14/01/2026
XS2081246410 XS2081246410 OP Corporate Bank plc (OP Yr 19/29 0,53% 0199920-7 Bond 19/11/2019 15/11/2029
XS2171253912 XS2171253912 OP Corporate Bank plc (OP Yr 20/25 0,50% 0199920-7 Bond 12/05/2020 12/08/2025
XS2258389415 XS2258389415 OP Corporate Bank plc (OP Yr 20/27 0,10% 0199920-7 Bond 16/11/2020 16/11/2027
XS2102924383 XS2102924383 OP Corporate Bank plc (OP Yr 20/27 0,60% 0199920-7 Tier 3 16/01/2020 18/01/2027
XS2320747285 XS2320747285 OP Corporate Bank plc (OP Yr 21/26 0,25% 0199920-7 Tier 3 24/03/2021 24/03/2026
XS2322253944 XS2322253944 OP Corporate Bank plc (OP Yr 21/31 0,75% 0199920-7 Tier 3 24/03/2021 24/03/2031
XS2635622595 XS2635622595 OP Corporate Bank plc (OP Yr 23/28 4,00% 0199920-7 Bond 13/06/2023 13/06/2028
XS2722262966 XS2722262966 OP Corporate Bank plc (OP Yrit 23/25 FRN 0199920-7 Bond 21/11/2023 21/11/2025
XS2721082340 XS2721082340 OP Corporate Bank plc (OP Yrit 23/29 FRN 0199920-7 Bond 20/11/2023 20/02/2029
XS2627100501 XS2627100501 OP Corporate Bank plc (OP Yrit 23/30 FRN 0199920-7 Bond 23/05/2023 23/05/2030
XS2794477518 XS2794477518 OP Corporate Bank plc (OP Yrit 24/27 FRN 0199920-7 Bond 28/03/2024 28/03/2027
XS2158878715 XS2158878715 OP Mortgage Bank ( 20/28 FRN STEP C COVD 1614329-2 Bond 21/04/2020 21/04/2028
XS1144844583 XS1144844583 OP Mortgage Bank (OP- 14/24 1,00% C COVD 1614329-2 Bond 28/11/2014 28/11/2024
XS1626141698 XS1626141698 OP Mortgage Bank (OP-As 17/27 ADJ C COVD 1614329-2 Bond 07/06/2017 07/06/2027
XS1829345427 XS1829345427 OP Mortgage Bank (OP-As 18/25 ADJ C COVD 1614329-2 Bond 01/06/2018 01/09/2025
XS2081168358 XS2081168358 OP Mortgage Bank (OP-As 19/26 ADJ C COVD 1614329-2 Bond 19/11/2019 19/11/2026
XS1951927158 XS1951927158 OP Mortgage Bank (OP-As 19/29 ADJ C COVD 1614329-2 Bond 15/02/2019 15/02/2029
XS2105779719 XS2105779719 OP Mortgage Bank (OP-As 20/28 ADJ C COVD 1614329-2 Bond 21/01/2020 21/04/2028
XS2260183285 XS2260183285 OP Mortgage Bank (OP-As 20/30 ADJ C COVD 1614329-2 Bond 19/11/2020 19/11/2030
XS2324321368 XS2324321368 OP Mortgage Bank (OP-As 21/31 ADJ C COVD 1614329-2 Bond 25/03/2021 25/03/2031
XS2558247677 XS2558247677 OP Mortgage Bank (OP-As 22/26 ADJ C COVD 1614329-2 Bond 22/11/2022 22/06/2026
XS2465142755 XS2465142755 OP Mortgage Bank (OP-As 22/27 ADJ C COVD 1614329-2 Bond 05/04/2022 05/10/2027
XS2717292788 XS2717292788 OP Mortgage Bank (OP-As 23/27 ADJ C COVD 1614329-2 Bond 15/11/2023 15/02/2027
XS2613838296 XS2613838296 OP Mortgage Bank (OP-As 23/28 ADJ C COVD 1614329-2 Bond 20/04/2023 20/10/2028
XS2580224082 XS2580224082 OP Mortgage Bank (OP-As 23/30 ADJ C COVD 1614329-2 Bond 25/01/2023 25/01/2030
XS2909760063 XS2909760063 OP Mortgage Bank (OP-As 24/29 ADJ C COVD 1614329-2 Bond 03/10/2024 03/10/2029
XS2749486556 XS2749486556 OP Mortgage Bank (OP-As 24/31 ADJ C COVD 1614329-2 Bond 17/01/2024 17/07/2031
FI4000292180 OPR-Finance Oy 17/PERP 10,75% C SUB 1993902-6 Bond 17/11/2017 17/02/2099
XS2200501653 XS2200501653 Outokumpu Oyj 20/25 5,00% CONV 0215254-2 Convertible 09/07/2020 09/07/2025
FI4000507876 PHMGJ047526 PHM Group Holding Oyj 21/26 4,75% C 3123811-8 Bond 18/06/2021 18/06/2026
FI4000541685 PHMGJVAIH26 PHM Group Holding Oyj 22/26 FRN FLOOR C 3123811-8 Bond 15/12/2022 19/06/2026
FI4000549639 Pihlajalinna Oyj 23/PERP ADJ C SUB 2617455-1 Bond 27/03/2023 27/03/2099
FI4000410683 POHJ125025 Pohjolan Voima 19/25 1,25% 0210161-4 Bond 18/11/2019 20/01/2025
FI4000570908 PVOJ475031 Pohjolan Voima 24/31 4,75% C 0210161-4 Bond 05/06/2024 05/06/2031
FI4000526876 POP22092025 POP Mortgage Bank Plc 22/25 2,625% COVD 3236645-3 Bond 22/09/2022 22/09/2025
FI4000550371 POP26042028 POP Mortgage Bank Plc 23/28 ADJ C COVD 3236645-3 Bond 26/04/2023 26/04/2028
FI4000581715 POP15102029 POP Mortgage Bank Plc 24/29 ADJ C COVD 3236645-3 Bond 15/10/2024 15/10/2029
XS2898741785 PRE: Fingrid Oyj 0% CERT 091 051224 1072894-3 CD 05/09/2024 05/12/2024
XS2949285451 PRE: Fingrid Oyj 0% CERT 092 250225 1072894-3 CD 25/11/2024 25/02/2025
XS2889353863 PRE: Fingrid Oyj 0% CERT 094 251124 1072894-3 CD 23/08/2024 25/11/2024
XS2932751907 PRE: Fingrid Oyj 0% CERT 095 030225 1072894-3 CD 31/10/2024 03/02/2025
XS2933464617 PRE: Fingrid Oyj 0% CERT 096 050225 1072894-3 CD 01/11/2024 05/02/2025
XS2904659070 PRE: Fingrid Oyj 0% CERT 122 160125 1072894-3 CD 16/09/2024 16/01/2025
XS2922666859 PRE: Fingrid Oyj 0% CERT 124 170225 1072894-3 CD 16/10/2024 17/02/2025
XS2900362752 PRE: Fingrid Oyj 0% CERT 182 100325 1072894-3 CD 09/09/2024 10/03/2025
XS2928594220 PRE: Finnvera PLC 0% CERT 061 231224 1484332-4 CD 23/10/2024 23/12/2024
XS2935977319 PRE: Municipality Finance 0% CERT 030 051224 1701683-4 CD 05/11/2024 05/12/2024
XS2928534754 PRE: Municipality Finance 0% CERT 033 251124 1701683-4 CD 23/10/2024 25/11/2024
XS2949319458 PRE: Municipality Finance 0% CERT 060 240125 1701683-4 CD 25/11/2024 24/01/2025
XS2922654848 PRE: Municipality Finance 0% CERT 061 161224 1701683-4 CD 16/10/2024 16/12/2024
XS2946174690 PRE: Municipality Finance 0% CERT 062 200125 1701683-4 CD 19/11/2024 20/01/2025
XS2945682479 PRE: Municipality Finance 0% CERT 063 210125 1701683-4 CD 19/11/2024 21/01/2025
XS2949275908 PRE: Municipality Finance 0% CERT 063 270125 1701683-4 CD 25/11/2024 27/01/2025
XS2949358605 PRE: Municipality Finance 0% CERT 064 280125 1701683-4 CD 25/11/2024 28/01/2025
XS2943595756 PRE: Municipality Finance 0% CERT 077 310125 1701683-4 CD 15/11/2024 31/01/2025
XS2896219115 PRE: Municipality Finance 0% CERT 091 021224 1701683-4 CD 02/09/2024 02/12/2024
XS2907970391 PRE: Municipality Finance 0% CERT 091 201224 1701683-4 CD 20/09/2024 20/12/2024
XS2927495890 PRE: Municipality Finance 0% CERT 092 210125 1701683-4 CD 21/10/2024 21/01/2025
XS2932797132 PRE: Municipality Finance 0% CERT 092 310125 1701683-4 CD 31/10/2024 31/01/2025
XS2889376054 PRE: Municipality Finance 0% CERT 094 251124 1701683-4 CD 23/08/2024 25/11/2024
XS2909751401 PRE: Municipality Finance 0% CERT 097 301224 1701683-4 CD 24/09/2024 30/12/2024
XS2903247422 PRE: Municipality Finance 0% CERT 122 130125 1701683-4 CD 13/09/2024 13/01/2025
XS2894848170 PRE: Municipality Finance 0% CERT 130 060125 1701683-4 CD 29/08/2024 06/01/2025
XS2930703181 PRE: Municipality Plc 0% CHF CERT 031 281124 1701683-4 CD 28/10/2024 28/11/2024
XS2947875345 PRE: Municipality Plc 0% GBP CERT 061 210125 1701683-4 CD 21/11/2024 21/01/2025
XS2948469999 PRE: Municipality Plc 0% GBP CERT 061 220125 1701683-4 CD 22/11/2024 22/01/2025
XS2934654109 PRE: Municipality Plc 0% GBP CERT 092 040225 1701683-4 CD 04/11/2024 04/02/2025
XS2899139559 PRE: Municipality Plc 0% GBP CERT 132 160125 1701683-4 CD 06/09/2024 16/01/2025
XS2899587468 PRE: Municipality Plc 0% GBP CERT 133 170125 1701683-4 CD 06/09/2024 17/01/2025
XS2892943338 PRE: Municipality Plc 0% GBP CERT 135 100125 1701683-4 CD 28/08/2024 10/01/2025
XS2892946430 PRE: Municipality Plc 0% GBP CERT 135 100125 1701683-4 CD 28/08/2024 10/01/2025
XS2948050104 PRE: Municipality Plc 0% USD CERT 021 121224 1701683-4 CD 21/11/2024 12/12/2024
XS2938633778 PRE: Municipality Plc 0% USD CERT 032 101224 1701683-4 CD 08/11/2024 10/12/2024
XS2948513309 PRE: Municipality Plc 0% USD CERT 056 170125 1701683-4 CD 22/11/2024 17/01/2025
XS2947929886 PRE: Municipality Plc 0% USD CERT 061 210125 1701683-4 CD 21/11/2024 21/01/2025
XS2947885815 PRE: Municipality Plc 0% USD CERT 062 220125 1701683-4 CD 21/11/2024 22/01/2025
XS2908573095 PRE: Municipality Plc 0% USD CERT 063 251124 1701683-4 CD 23/09/2024 25/11/2024
XS2908630747 PRE: Municipality Plc 0% USD CERT 063 251124 1701683-4 CD 23/09/2024 25/11/2024
XS2909750346 PRE: Municipality Plc 0% USD CERT 063 261124 1701683-4 CD 24/09/2024 26/11/2024
XS2947110404 PRE: Municipality Plc 0% USD CERT 064 230125 1701683-4 CD 20/11/2024 23/01/2025
XS2901463641 PRE: Municipality Plc 0% USD CERT 091 101224 1701683-4 CD 10/09/2024 10/12/2024
XS2902687024 PRE: Municipality Plc 0% USD CERT 091 121224 1701683-4 CD 12/09/2024 12/12/2024
XS2904565095 PRE: Municipality Plc 0% USD CERT 091 171224 1701683-4 CD 17/09/2024 17/12/2024
XS2939370529 PRE: Municipality Plc 0% USD CERT 092 120225 1701683-4 CD 12/11/2024 12/02/2025
XS2942385654 PRE: Municipality Plc 0% USD CERT 092 140225 1701683-4 CD 14/11/2024 14/02/2025
XS2947105156 PRE: Municipality Plc 0% USD CERT 092 200225 1701683-4 CD 20/11/2024 20/02/2025
XS2932795946 PRE: Municipality Plc 0% USD CERT 092 310125 1701683-4 CD 31/10/2024 31/01/2025
XS2906246140 PRE: Municipality Plc 0% USD CERT 093 201224 1701683-4 CD 18/09/2024 20/12/2024
XS2892992384 PRE: Municipality Plc 0% USD CERT 093 291124 1701683-4 CD 28/08/2024 29/11/2024
XS2933461860 PRE: Municipality Plc 0% USD CERT 094 030225 1701683-4 CD 01/11/2024 03/02/2025
XS2883948817 PRE: Municipality Plc 0% USD CERT 119 131224 1701683-4 CD 16/08/2024 13/12/2024
XS2900306684 PRE: Municipality Plc 0% USD CERT 122 090125 1701683-4 CD 09/09/2024 09/01/2025
XS2908715142 PRE: Municipality Plc 0% USD CERT 122 240125 1701683-4 CD 24/09/2024 24/01/2025
XS2898766188 PRE: Municipality Plc 0% USD CERT 124 070125 1701683-4 CD 05/09/2024 07/01/2025
XS2913250689 PRE: Municipality Plc 0% USD CERT 125 030225 1701683-4 CD 01/10/2024 03/02/2025
XS2899121698 PRE: Municipality Plc 0% USD CERT 130 140125 1701683-4 CD 06/09/2024 14/01/2025
XS2897296237 PRE: Municipality Plc 0% USD CERT 131 130125 1701683-4 CD 04/09/2024 13/01/2025
XS2896876963 PRE: Municipality Plc 0% USD CERT 153 030225 1701683-4 CD 03/09/2024 03/02/2025
XS2903251531 PRE: Municipality Plc 0% USD CERT 153 130225 1701683-4 CD 13/09/2024 13/02/2025
XS2906176180 PRE: Municipality Plc 0% USD CERT 153 180225 1701683-4 CD 18/09/2024 18/02/2025
XS2889405762 PRE: Municipality Plc 0% USD CERT 153 230125 1701683-4 CD 23/08/2024 23/01/2025
XS2890152643 PRE: Municipality Plc 0% USD CERT 153 230125 1701683-4 CD 23/08/2024 23/01/2025
XS2892944229 PRE: Municipality Plc 0% USD CERT 153 270125 1701683-4 CD 27/08/2024 27/01/2025
XS2905441908 PRE: Municipality Plc 0% USD CERT 154 180225 1701683-4 CD 17/09/2024 18/02/2025
XS2896220980 PRE: Municipality Plc 0% USD CERT 157 070225 1701683-4 CD 03/09/2024 07/02/2025
XS2899118710 PRE: Municipality Plc 0% USD CERT 157 100225 1701683-4 CD 06/09/2024 10/02/2025
XS2933570728 PRE: Municipality Plc 0% USD CERT 182 020525 1701683-4 CD 01/11/2024 02/05/2025
XS2900404265 PRE: Municipality Plc 0% USD CERT 182 100325 1701683-4 CD 09/09/2024 10/03/2025
XS2873476001 PRE: Municipality Plc 0% USD CERT 186 030225 1701683-4 CD 01/08/2024 03/02/2025
XS2905571944 PRE: Nordea Bank Abp 0% CERT 091 171224 2858394-9 CD 17/09/2024 17/12/2024
XS2895628936 PRE: Nordea Bank Abp 0% CERT 091 291124 2858394-9 CD 30/08/2024 29/11/2024
XS2891409059 PRE: Nordea Bank Abp 0% CERT 092 261124 2858394-9 CD 26/08/2024 26/11/2024
XS2892321253 PRE: Nordea Bank Abp 0% CERT 092 261124 2858394-9 CD 26/08/2024 26/11/2024
XS2886108278 PRE: Nordea Bank Abp 0% CERT 109 061224 2858394-9 CD 19/08/2024 06/12/2024
XS2869533286 PRE: Nordea Bank Abp 0% CERT 146 171224 2858394-9 CD 24/07/2024 17/12/2024
XS2943690821 PRE: Nordea Bank Abp 0% CERT 181 150525 2858394-9 CD 15/11/2024 15/05/2025
XS2919642731 PRE: Nordea Bank Abp 0% CERT 182 100425 2858394-9 CD 10/10/2024 10/04/2025
XS2922614388 PRE: Nordea Bank Abp 0% CERT 182 150425 2858394-9 CD 15/10/2024 15/04/2025
XS2838901473 PRE: Nordea Bank Abp 0% CERT 183 061224 2858394-9 CD 06/06/2024 06/12/2024
XS2845152698 PRE: Nordea Bank Abp 0% CERT 183 171224 2858394-9 CD 17/06/2024 17/12/2024
XS2830962382 PRE: Nordea Bank Abp 0% CERT 185 251124 2858394-9 CD 24/05/2024 25/11/2024
XS2937254386 PRE: Nordea Bank Abp 0% CERT 193 190525 2858394-9 CD 07/11/2024 19/05/2025
XS2920411878 PRE: Nordea Bank Abp 0% CERT 213 120525 2858394-9 CD 11/10/2024 12/05/2025
XS2930483123 PRE: Nordea Bank Abp 0% CERT 213 260525 2858394-9 CD 25/10/2024 26/05/2025
XS2825488955 PRE: Nordea Bank Abp 0% CERT 214 161224 2858394-9 CD 16/05/2024 16/12/2024
XS2869533872 PRE: Nordea Bank Abp 0% CERT 229 100325 2858394-9 CD 24/07/2024 10/03/2025
XS2810796545 PRE: Nordea Bank Abp 0% CERT 244 241224 2858394-9 CD 24/04/2024 24/12/2024
XS2942343653 PRE: Nordea Bank Abp 0% CERT 273 140825 2858394-9 CD 14/11/2024 14/08/2025
XS2943691126 PRE: Nordea Bank Abp 0% CERT 273 150825 2858394-9 CD 15/11/2024 15/08/2025
XS2850499893 PRE: Nordea Bank Abp 0% CERT 273 210325 2858394-9 CD 21/06/2024 21/03/2025
XS2902637433 PRE: Nordea Bank Abp 0% CERT 305 140725 2858394-9 CD 12/09/2024 14/07/2025
XS2858690139 PRE: Nordea Bank Abp 0% CERT 330 040625 2858394-9 CD 09/07/2024 04/06/2025
XS2914527952 PRE: Nordea Bank Abp 0% CERT 358 260925 2858394-9 CD 03/10/2024 26/09/2025
XS2916458107 PRE: Nordea Bank Abp 0% CERT 358 260925 2858394-9 CD 03/10/2024 26/09/2025
XS2856802470 PRE: Nordea Bank Abp 0% CERT 363 020725 2858394-9 CD 04/07/2024 02/07/2025
XS2899121268 PRE: Nordea Bank Abp 0% CERT 364 050925 2858394-9 CD 06/09/2024 05/09/2025
XS2899142264 PRE: Nordea Bank Abp 0% CERT 364 050925 2858394-9 CD 06/09/2024 05/09/2025
XS2740253286 PRE: Nordea Bank Abp 0% CERT 364 201224 2858394-9 CD 22/12/2023 20/12/2024
XS2870865552 PRE: Nordea Bank Abp 0% CERT 364 250725 2858394-9 CD 26/07/2024 25/07/2025
XS2911028913 PRE: Nordea Bank Abp 0% CERT 364 250925 2858394-9 CD 26/09/2024 25/09/2025
XS2873301977 PRE: Nordea Bank Abp 0% CERT 364 310725 2858394-9 CD 01/08/2024 31/07/2025
XS2899520121 PRE: Nordea Bank Abp 0% GBP CERT 091 091224 2858394-9 CD 09/09/2024 09/12/2024
XS2901979539 PRE: Nordea Bank Abp 0% GBP CERT 091 131224 2858394-9 CD 13/09/2024 13/12/2024
XS2906223446 PRE: Nordea Bank Abp 0% GBP CERT 091 191224 2858394-9 CD 19/09/2024 19/12/2024
XS2901401534 PRE: Nordea Bank Abp 0% GBP CERT 181 100325 2858394-9 CD 10/09/2024 10/03/2025
XS2831093997 PRE: Nordea Bank Abp 0% GBP CERT 192 021224 2858394-9 CD 24/05/2024 02/12/2024
XS2899520394 PRE: Nordea Bank Abp 0% USD CERT 091 091224 2858394-9 CD 09/09/2024 09/12/2024
XS2922617647 PRE: OP Corporate Bank plc 0% CERT 182 160425 0199920-7 CD 16/10/2024 16/04/2025
XS2944834469 PRE: OP Corporate Bank plc 0% CERT 182 190525 0199920-7 CD 18/11/2024 19/05/2025
XS2949369396 PRE: OP Corporate Bank plc 0% CERT 182 260525 0199920-7 CD 25/11/2024 26/05/2025
XS2949463496 PRE: OP Corporate Bank plc 0% CERT 182 260525 0199920-7 CD 25/11/2024 26/05/2025
XS2934443404 PRE: OP Corporate Bank plc 0% CERT 183 060525 0199920-7 CD 04/11/2024 06/05/2025
XS2925836723 PRE: OP Corporate Bank plc 0% CERT 183 220425 0199920-7 CD 21/10/2024 22/04/2025
XS2831089292 PRE: OP Corporate Bank plc 0% CERT 185 251124 0199920-7 CD 24/05/2024 25/11/2024
XS2831104190 PRE: OP Corporate Bank plc 0% CERT 185 251124 0199920-7 CD 24/05/2024 25/11/2024
XS2831090894 PRE: OP Corporate Bank plc 0% CERT 210 201224 0199920-7 CD 24/05/2024 20/12/2024
XS2922019588 PRE: OP Corporate Bank plc 0% CERT 212 150525 0199920-7 CD 15/10/2024 15/05/2025
XS2923387919 PRE: OP Corporate Bank plc 0% CERT 214 190525 0199920-7 CD 17/10/2024 19/05/2025
XS2892964847 PRE: OP Corporate Bank plc 0% CERT 231 150425 0199920-7 CD 27/08/2024 15/04/2025
XS2886885164 PRE: OP Corporate Bank plc 0% CERT 245 220425 0199920-7 CD 20/08/2024 22/04/2025
XS2886893697 PRE: OP Corporate Bank plc 0% CERT 262 090525 0199920-7 CD 20/08/2024 09/05/2025
XS2874082857 PRE: OP Corporate Bank plc 0% CERT 273 020525 0199920-7 CD 02/08/2024 02/05/2025
XS2842870888 PRE: OP Corporate Bank plc 0% CERT 273 120325 0199920-7 CD 12/06/2024 12/03/2025
XS2843739280 PRE: OP Corporate Bank plc 0% CERT 273 130325 0199920-7 CD 13/06/2024 13/03/2025
XS2843801346 PRE: OP Corporate Bank plc 0% CERT 273 130325 0199920-7 CD 13/06/2024 13/03/2025
XS2844873542 PRE: OP Corporate Bank plc 0% CERT 273 140325 0199920-7 CD 14/06/2024 14/03/2025
XS2850568705 PRE: OP Corporate Bank plc 0% CERT 273 210325 0199920-7 CD 21/06/2024 21/03/2025
XS2851543087 PRE: OP Corporate Bank plc 0% CERT 273 240325 0199920-7 CD 24/06/2024 24/03/2025
XS2912254625 PRE: OP Corporate Bank plc 0% CERT 273 300625 0199920-7 CD 30/09/2024 30/06/2025
XS2859255684 PRE: OP Corporate Bank plc 0% CERT 274 090425 0199920-7 CD 09/07/2024 09/04/2025
XS2862880064 PRE: OP Corporate Bank plc 0% CERT 274 150425 0199920-7 CD 15/07/2024 15/04/2025
XS2868910717 PRE: OP Corporate Bank plc 0% CERT 274 230425 0199920-7 CD 23/07/2024 23/04/2025
XS2779788814 PRE: OP Corporate Bank plc 0% CERT 275 041224 0199920-7 CD 04/03/2024 04/12/2024
XS2786375225 PRE: OP Corporate Bank plc 0% CERT 275 111224 0199920-7 CD 11/03/2024 11/12/2024
XS2784667524 PRE: OP Corporate Bank plc 0% CERT 275 121224 0199920-7 CD 12/03/2024 12/12/2024
XS2777372561 PRE: OP Corporate Bank plc 0% CERT 275 291124 0199920-7 CD 28/02/2024 29/11/2024
XS2779006290 PRE: OP Corporate Bank plc 0% CERT 276 021224 0199920-7 CD 01/03/2024 02/12/2024
XS2851611850 PRE: OP Corporate Bank plc 0% CERT 304 240425 0199920-7 CD 24/06/2024 24/04/2025
XS2823145177 PRE: OP Corporate Bank plc 0% CERT 322 010425 0199920-7 CD 14/05/2024 01/04/2025
XS2846151665 PRE: OP Corporate Bank plc 0% CERT 360 120625 0199920-7 CD 17/06/2024 12/06/2025
XS2778928049 PRE: OP Corporate Bank plc 0% CERT 363 270225 0199920-7 CD 01/03/2024 27/02/2025
XS2813816100 PRE: OP Corporate Bank plc 0% CERT 363 280425 0199920-7 CD 30/04/2024 28/04/2025
XS2744123303 PRE: OP Corporate Bank plc 0% CERT 364 020125 0199920-7 CD 04/01/2024 02/01/2025
XS2818302874 PRE: OP Corporate Bank plc 0% CERT 364 050525 0199920-7 CD 06/05/2024 05/05/2025
XS2901459706 PRE: OP Corporate Bank plc 0% CERT 364 090925 0199920-7 CD 10/09/2024 09/09/2025
XS2749490749 PRE: OP Corporate Bank plc 0% CERT 364 100125 0199920-7 CD 12/01/2024 10/01/2025
XS2735342292 PRE: OP Corporate Bank plc 0% CERT 364 111224 0199920-7 CD 13/12/2023 11/12/2024
XS2823230284 PRE: OP Corporate Bank plc 0% CERT 364 130525 0199920-7 CD 14/05/2024 13/05/2025
XS2884157574 PRE: OP Corporate Bank plc 0% CERT 364 130825 0199920-7 CD 14/08/2024 13/08/2025
XS2751672077 PRE: OP Corporate Bank plc 0% CERT 364 140125 0199920-7 CD 16/01/2024 14/01/2025
XS2751688586 PRE: OP Corporate Bank plc 0% CERT 364 140125 0199920-7 CD 16/01/2024 14/01/2025
XS2752466388 PRE: OP Corporate Bank plc 0% CERT 364 150125 0199920-7 CD 17/01/2024 15/01/2025
XS2923388214 PRE: OP Corporate Bank plc 0% CERT 364 161025 0199920-7 CD 17/10/2024 16/10/2025
XS2848124504 PRE: OP Corporate Bank plc 0% CERT 364 170625 0199920-7 CD 18/06/2024 17/06/2025
XS2944469746 PRE: OP Corporate Bank plc 0% CERT 364 171125 0199920-7 CD 18/11/2024 17/11/2025
XS2740291963 PRE: OP Corporate Bank plc 0% CERT 364 201224 0199920-7 CD 22/12/2023 20/12/2024
XS2925846953 PRE: OP Corporate Bank plc 0% CERT 364 211025 0199920-7 CD 22/10/2024 21/10/2025
XS2756387812 PRE: OP Corporate Bank plc 0% CERT 364 220125 0199920-7 CD 24/01/2024 22/01/2025
XS2831183475 PRE: OP Corporate Bank plc 0% CERT 364 230525 0199920-7 CD 24/05/2024 23/05/2025
XS2949365055 PRE: OP Corporate Bank plc 0% CERT 364 241125 0199920-7 CD 25/11/2024 24/11/2025
XS2891730728 PRE: OP Corporate Bank plc 0% CERT 364 250825 0199920-7 CD 26/08/2024 25/08/2025
XS2911043631 PRE: OP Corporate Bank plc 0% CERT 364 250925 0199920-7 CD 26/09/2024 25/09/2025
XS2911724313 PRE: OP Corporate Bank plc 0% CERT 364 260925 0199920-7 CD 27/09/2024 26/09/2025
XS2871471558 PRE: OP Corporate Bank plc 0% CERT 364 280725 0199920-7 CD 29/07/2024 28/07/2025
XS2819785515 PRE: OP Corporate Plc 0% CHF CERT 364 070525 0199920-7 CD 08/05/2024 07/05/2025
XS2923378843 PRE: OP Corporate Plc 0% GBP CERT 182 170425 0199920-7 CD 17/10/2024 17/04/2025
XS2831098442 PRE: OP Corporate Plc 0% GBP CERT 185 251124 0199920-7 CD 24/05/2024 25/11/2024
XS2831089961 PRE: OP Corporate Plc 0% GBP CERT 214 241224 0199920-7 CD 24/05/2024 24/12/2024
XS2843808861 PRE: OP Corporate Plc 0% GBP CERT 273 130325 0199920-7 CD 13/06/2024 13/03/2025
XS2843836565 PRE: OP Corporate Plc 0% GBP CERT 273 130325 0199920-7 CD 13/06/2024 13/03/2025
XS2844872734 PRE: OP Corporate Plc 0% GBP CERT 273 140325 0199920-7 CD 14/06/2024 14/03/2025
XS2829033427 PRE: OP Corporate Plc 0% GBP CERT 335 220425 0199920-7 CD 22/05/2024 22/04/2025
XS2809342160 PRE: OP Corporate Plc 0% GBP CERT 363 170425 0199920-7 CD 19/04/2024 17/04/2025
XS2767949733 PRE: OP Corporate Plc 0% GBP CERT 364 110225 0199920-7 CD 13/02/2024 11/02/2025
XS2768731056 PRE: OP Corporate Plc 0% GBP CERT 364 120225 0199920-7 CD 14/02/2024 12/02/2025
XS2768788593 PRE: OP Corporate Plc 0% GBP CERT 364 120225 0199920-7 CD 14/02/2024 12/02/2025
XS2770517295 PRE: OP Corporate Plc 0% GBP CERT 364 140225 0199920-7 CD 16/02/2024 14/02/2025
XS2787789838 PRE: OP Corporate Plc 0% GBP CERT 364 140325 0199920-7 CD 15/03/2024 14/03/2025
XS2831089532 PRE: OP Corporate Plc 0% USD CERT 185 251124 0199920-7 CD 24/05/2024 25/11/2024
XS2775783876 PRE: OP Corporate Plc 0% USD CERT 274 261124 0199920-7 CD 26/02/2024 26/11/2024
XS2762973092 PRE: OP Corporate Plc 0% USD CERT 335 020125 0199920-7 CD 02/02/2024 02/01/2025
XS2784358140 PRE: OP Corporate Plc 0% USD CERT 364 070325 0199920-7 CD 08/03/2024 07/03/2025
XS2770645534 PRE: OP Corporate Plc 0% USD CERT 364 140225 0199920-7 CD 16/02/2024 14/02/2025
XS2771648172 PRE: OP Corporate Plc 0% USD CERT 364 180225 0199920-7 CD 20/02/2024 18/02/2025
FI4000548896 PURMOJ950099 Purmo Group Oyj 23/99 ADJ C SUB 2890898-5 Bond 23/02/2023 23/02/2099
FI4000560628 Rapala VMC Oyj 23/PERP ADJ C SUB 1016238-8 Bond 29/11/2023 29/11/2099
NO0011130148 REECK01 Rederiaktiebolaget 21/26 FRN EUR FLOOR C 0280703-5 Bond 28/10/2021 28/10/2026
XS2177026155 FINL 0875 200530 USD Republic of Finland (Va 20/30 0,875% USD 2634404-7 Bond 20/05/2020 20/05/2030
XS2853088362 FINL 4.375 02.07.34 USD Republic of Finland (Va 24/34 4,375% USD 2634404-7 Bond 02/07/2024 02/07/2034
FI4000046545 SVAO0262542 Republic of Finland (Valtio 12/42 2,625% 2634404-7 Bond 03/07/2012 04/07/2042
FI4000167317 SVAO087525 Republic of Finland (Valtio 15/25 0,875% 2634404-7 Bond 15/09/2015 15/09/2025
FI4000242870 SVAO137547 Republic of Finland (Valtio 17/47 1,375% 2634404-7 Bond 15/02/2017 15/04/2047
FI4000306758 SVAO112534 Republic of Finland (Valtio 18/34 1,125% 2634404-7 Bond 13/02/2018 15/04/2034
FI4000415153 SVAO012536 Republic of Finland (Valtio 20/36 0,125% 2634404-7 Bond 11/02/2020 15/04/2036
FI4000507231 SVAO012531 Republic of Finland (Valtio 21/31 0,125% 2634404-7 Bond 26/05/2021 15/09/2031
FI4000480488 SVAO012552 Republic of Finland (Valtio 21/52 0,125% 2634404-7 Bond 09/02/2021 15/04/2052
FI4000527551 SVAO137527 Republic of Finland (Valtio 22/27 1,375% 2634404-7 Bond 30/08/2022 15/04/2027
FI4000557525 SVAO287529 Republic of Finland (Valtio 23/29 2,875% 2634404-7 Bond 23/08/2023 15/04/2029
FI4000006176 SVAO400025 Republic of Finland (Valtiok 09/25 4,00% 2634404-7 Bond 19/10/2009 04/07/2025
FI4000037635 SVAO275028 Republic of Finland (Valtiok 12/28 2,75% 2634404-7 Bond 07/02/2012 04/07/2028
FI4000148630 SVAO075016 Republic of Finland (Valtiok 15/31 0,75% 2634404-7 Bond 10/03/2015 15/04/2031
FI4000197959 SVAO050026 Republic of Finland (Valtiok 16/26 0,50% 2634404-7 Bond 15/04/2016 15/04/2026
FI4000348727 SVAO050028 Republic of Finland (Valtiok 18/28 0,50% 2634404-7 Bond 04/09/2018 15/09/2028
FI4000369467 SVAO050029 Republic of Finland (Valtiok 19/29 0,50% 2634404-7 Bond 12/02/2019 15/09/2029
FI4000440557 SVAO025040 Republic of Finland (Valtiok 20/40 0,25% 2634404-7 Bond 17/06/2020 15/09/2040
FI4000278551 SVAO050027 Republic of Finland (Valtiok 21/27 0,50% 2634404-7 Bond 06/09/2021 15/09/2027
FI4000523238 SVAO150032 Republic of Finland (Valtiok 22/32 1,50% 2634404-7 Bond 01/06/2022 15/09/2032
FI4000517677 SVAO050043 Republic of Finland (Valtiok 22/43 0,50% 2634404-7 Bond 01/02/2022 14/04/2043
FI4000550249 SVAO300033 Republic of Finland (Valtiok 23/33 3,00% 2634404-7 Bond 04/05/2023 15/09/2033
FI4000546528 SVAO275038 Republic of Finland (Valtiok 23/38 2,75% 2634404-7 Bond 26/01/2023 15/04/2038
FI4000577952 SVAO250030 Republic of Finland (Valtiok 24/30 2,50% 2634404-7 Bond 27/08/2024 15/04/2030
FI4000571104 SVAO300034 Republic of Finland (Valtiok 24/34 3,00% 2634404-7 Bond 30/04/2024 15/09/2034
FI4000566294 SVAO295055 Republic of Finland (Valtiok 24/55 2,95% 2634404-7 Bond 24/01/2024 15/04/2055
US317873AY36 Republic of Finland (Valtiok 96/26 6,95% 2634404-7 Bond 15/02/1996 15/02/2026
FI4000441878 SVAO000030 Republic of Finland (Valtiokont 20/30 0% 2634404-7 Bond 02/09/2020 15/09/2030
FI4000511449 SVAO000026 Republic of Finland (Valtiokont 21/26 0% 2634404-7 Bond 15/09/2021 15/09/2026
XS1622193750 XS1622193750 Sampo Oyj 17/25 1,25% C 0142213-3 Bond 30/05/2017 30/05/2025
XS1775786574 XS1775786574 Sampo Oyj 18/28 1,625% C 0142213-3 Bond 21/02/2018 21/02/2028
XS1877343803 XS1877343803 Sampo Oyj 18/28 3,10% NOK 0142213-3 Bond 07/09/2018 07/09/2028
XS1888184121 XS1888184121 Sampo Oyj 18/30 2,25% C 0142213-3 Bond 28/09/2018 27/09/2030
XS1995716211 XS1995716211 Sampo Oyj 19/49 ADJ C SUB 0142213-3 Tier 2 23/05/2019 23/05/2049
XS2226645278 XS2226645278 Sampo Oyj 20/52 ADJ C SUB 0142213-3 Tier 2 03/09/2020 03/09/2052
FI4000549563 SAAJ080099 Sanoma Oyj 23/PERP 8,00% C SUB 1524361-1 Bond 16/03/2023 16/03/2099
FI4000578166 SANOJ400027 Sanoma Oyj 24/27 4,00% C 1524361-1 Bond 13/09/2024 13/09/2027
XS2233121792 XS2233121792 SATO Oyj 20/28 1,375% 0201470-5 Bond 24/09/2020 24/02/2028
XS2188664259 XS2188664259 SATO Oyj 20/30 2,45% C 0201470-5 Bond 12/06/2020 12/06/2030
FI4000210877 S-Bank Plc 16/26 FRN C SUB 2557308-3 Tier 2 30/06/2016 30/06/2026
FI4000466628 S-Bank Plc 20/30 FRN C SUB 2557308-3 Tier 2 01/12/2020 01/12/2030
FI4000512058 SBANKZVAIH25 S-Bank Plc 21/25 FRN 2557308-3 Bond 04/10/2021 04/04/2025
FI4000562301 SBANKZVAIH26 S-Bank Plc 23/26 FRN 2557308-3 Bond 23/11/2023 23/11/2026
FI4000560990 SBANKZ375029 S-Bank Plc 23/28 ADJ C COVD 2557308-3 Bond 26/09/2023 26/09/2028
FI4000567102 SBANKZ487528 S-Bank Plc 24/28 ADJ C 2557308-3 Bond 08/03/2024 08/03/2028
FI4000570841 SBANKZ300030 S-Bank Plc 24/30 ADJ C COVD 2557308-3 Bond 16/04/2024 16/04/2030
XS2271332285 XS2271332285 SBB Treasury Oyj 20/28 0,75% C 3147399-4 Bond 14/12/2020 14/12/2028
XS2346224806 XS2346224806 SBB Treasury Oyj 21/29 1,125% C 3147399-4 Bond 26/05/2021 26/11/2029
FI4000442264 STQJ600024 Solteq Oyj 20/26 6,00% STEP C 0490484-0 Bond 01/10/2020 01/10/2026
XS2014370915 XS2014370915 Sp-Kiinnitysluottopankk 19/26 ADJ C COVD 2685273-8 Bond 19/06/2019 19/06/2026
XS2391343196 XS2391343196 Sp-Kiinnitysluottopankk 21/28 ADJ C COVD 2685273-8 Bond 28/09/2021 28/09/2028
XS2472651632 XS2472651632 Sp-Kiinnitysluottopankk 22/25 ADJ C COVD 2685273-8 Bond 28/04/2022 28/04/2025
XS2550557800 XS2550557800 Sp-Kiinnitysluottopankk 22/27 ADJ C COVD 2685273-8 Bond 01/11/2022 01/11/2027
XS2812394737 XS2812394737 Sp-Kiinnitysluottopankk 24/31 ADJ C COVD 2685273-8 Bond 02/05/2024 02/05/2031
FI4000198122 SRV22321 SRV Group Plc 16/PERP 6,875% STEP C 1707186-8 Bond 23/03/2016 30/06/2099
FI4000315395 SRVJ487522 SRV Group Plc 18/PERP ADJ C 1707186-8 Bond 27/03/2018 30/06/2099
FI4000384185 SRV Group Plc 19/PERP 12,00% C SUB 1707186-8 Bond 23/05/2019 23/05/2099
FI4000149976 SSH Commun 15/PERP 7,50% STEP C SUB CONV 1035804-9 Convertible 30/03/2015 30/03/2099
FI4000507330 STCJ001026 Stockmann Oyj Abp 21/26 0,10% C 0114162-2 Bond 05/07/2021 05/07/2026
US86210MAC01 US86210MAC01 Stora Enso Oyj 06/36 7,25% C 1039050-8 Bond 13/04/2006 15/04/2036
USX8662DAW75 USX8662DAW75 Stora Enso Oyj 06/36 7,25% C 1039050-8 Bond 13/04/2006 15/04/2036
XS1280869519 Stora Enso Oyj 15/25 FRN 1039050-8 Bond 27/08/2015 27/08/2025
XS1280870012 Stora Enso Oyj 15/27 FRN 1039050-8 Bond 27/08/2015 27/08/2027
XS1624344542 XS1624344542 Stora Enso Oyj 17/27 2,50% C 1039050-8 Bond 07/06/2017 07/06/2027
XS1794354628 XS1794354628 Stora Enso Oyj 18/28 2,50% C 1039050-8 Bond 21/03/2018 21/03/2028
XS1993775664 Stora Enso Oyj 19/26 FRN SEK 1039050-8 Bond 27/05/2019 27/05/2026
XS2163334621 XS2163334621 Stora Enso Oyj 20/25 2,375% SEK 1039050-8 Bond 29/04/2020 29/04/2025
XS2163333904 XS2163333904 Stora Enso Oyj 20/25 FRN SEK 1039050-8 Bond 29/04/2020 29/04/2025
XS2265360359 XS2265360359 Stora Enso Oyj 20/30 0,625% C 1039050-8 Bond 02/12/2020 02/12/2030
XS2715278961 XS2715278961 Stora Enso Oyj 23/25 4,75% SEK 1039050-8 Bond 10/11/2023 10/11/2025
XS2629062568 XS2629062568 Stora Enso Oyj 23/26 4,00% C 1039050-8 Bond 01/06/2023 01/06/2026
XS2714336117 XS2714336117 Stora Enso Oyj 23/27 4,75% SEK 1039050-8 Bond 08/11/2023 08/02/2027
XS2714333528 XS2714333528 Stora Enso Oyj 23/27 FRN SEK 1039050-8 Bond 08/11/2023 08/02/2027
XS2714338592 XS2714338592 Stora Enso Oyj 23/28 5,00% SEK 1039050-8 Bond 08/11/2023 08/11/2028
XS2714337784 XS2714337784 Stora Enso Oyj 23/28 FRN SEK 1039050-8 Bond 08/11/2023 08/11/2028
XS2629064267 XS2629064267 Stora Enso Oyj 23/29 4,25% C 1039050-8 Bond 01/06/2023 01/09/2029
FI4000292750 SBFV048524 Sunborn Finance Oyj 18/24 FRN FLOOR C 2834108-5 Bond 09/02/2018 13/05/2024
NO0011099772 SBLO055023 Sunborn London Oyj 21/26 FRN EUR FLOOR C 2726819-7 Bond 22/09/2021 05/02/2026
FI4000522420 HYPO 20042025 Suomen Hypoteekkiy 22/25 FRN STEP C COVD 0116931-8 Bond 20/04/2022 20/04/2025
FI4000375092 HYPO13032026 Suomen Hypoteekkiyhdist 19/26 ADJ C COVD 0116931-8 Bond 13/03/2019 13/03/2026
FI4000496344 HYPO 24032031 Suomen Hypoteekkiyhdist 21/31 ADJ C COVD 0116931-8 Bond 24/03/2021 24/03/2031
FI4000541461 HYPOZ0325028 Suomen Hypoteekkiyhdist 22/27 ADJ C COVD 0116931-8 Bond 15/11/2022 15/11/2027
FI4000549605 HYPOZ362528 Suomen Hypoteekkiyhdist 23/28 ADJ C COVD 0116931-8 Bond 15/03/2023 15/09/2028
FI4000570684 HYPOZ312529 Suomen Hypoteekkiyhdist 24/29 ADJ C COVD 0116931-8 Bond 10/04/2024 10/04/2029
FI4000507579 SUYJ015027 Suominen Oyj 21/27 1,50% C 1680141-9 Bond 11/06/2021 11/06/2027
FI4000232871 Taaleri Aurinkotuuli Omist 16/PERP LNK C 2787802-4 Linked Notes 21/11/2016 30/11/2099
FI4000415591 Taaleri Biojalostamo Omist 20/PERP LNK C 3115558-2 Linked Notes 26/02/2020 28/02/2099
FI4000297874 Taaleri Kiertotalous Omist 16/PERP LNK C 2745548-6 Linked Notes 15/03/2016 30/03/2099
FI4000113089 Taaleritehtaan Tuulitehdas I 14/99 LNK C 2633359-1 Linked Notes 05/11/2014 30/12/2099
XS0862347852 XS0862347852 Teollisuuden Voima Oyj 12/27 3,60% 0196656-0 Bond 14/12/2012 14/12/2027
XS0850228577 XS0850228577 Teollisuuden Voima Oyj 12/32 3,875% 0196656-0 Bond 08/11/2012 08/11/2032
XS0926478628 XS0926478628 Teollisuuden Voima Oyj 13/30 3,50% 0196656-0 Bond 03/05/2013 03/05/2030
XS1050663258 XS1050663258 Teollisuuden Voima Oyj 14/32 3,90% 0196656-0 Bond 31/03/2014 31/03/2032
XS1183235644 XS1183235644 Teollisuuden Voima Oyj 15/25 2,125% C 0196656-0 Bond 04/02/2015 04/02/2025
XS2049419398 XS2049419398 Teollisuuden Voima Oyj 19/26 1,125% C 0196656-0 Bond 09/09/2019 09/03/2026
XS2355632741 XS2355632741 Teollisuuden Voima Oyj 21/28 1,375% C 0196656-0 Bond 23/06/2021 23/06/2028
XS2463934864 XS2463934864 Teollisuuden Voima Oyj 22/27 2,625% C 0196656-0 Bond 31/03/2022 31/03/2027
XS2531915895 Teollisuuden Voima Oyj 22/32 FRN 0196656-0 Bond 12/09/2022 13/09/2032
XS2671723745 XS2671723745 Teollisuuden Voima Oyj 23/29 5,20% SEK 0196656-0 Bond 23/08/2023 23/01/2029
XS2671723661 XS2671723661 Teollisuuden Voima Oyj 23/29 FRN SEK 0196656-0 Bond 23/08/2023 23/01/2029
XS2625194225 XS2625194225 Teollisuuden Voima Oyj 23/30 4,75% C 0196656-0 Bond 01/06/2023 01/06/2030
XS2929975071 XS2929975071 Teollisuuden Voima Oyj 24/29 3,487% C 0196656-0 Bond 29/10/2024 29/10/2029
XS2823931824 XS2823931824 Teollisuuden Voima Oyj 24/31 4,25% C 0196656-0 Bond 22/05/2024 22/05/2031
FI4000523493 TTALOJ0537528 Terveystalo Oyj 23/28 5,375% C 2575979-3 Bond 01/06/2023 01/06/2028
FI4000440540 TIE200025 TietoEVRY Oyj 20/25 2,00% 0101138-5 Bond 17/06/2020 17/06/2025
FI4000442108 TORJ125026 Tornator Oyj 20/26 1,25% C 0162807-8 Bond 14/10/2020 14/10/2026
FI4000561931 Tornator Oyj 23/31 4,972% C 0162807-8 Bond 08/11/2023 08/11/2031
FI4000557244 Tornator Oyj 23/35 5,188% C 0162807-8 Bond 17/07/2023 17/07/2035
FI4000578216 TORJ375031 Tornator Oyj 24/31 3,75% C 0162807-8 Bond 17/10/2024 17/10/2031
FI4000167036 TT Kiinteistökehitys C-sar 15/PERP LNK C 2697574-6 Linked Notes 17/08/2015 15/05/2099
FI4000440276 TYOJ001027 TVR - Työttömyysvakuutusraha 20/27 0,01% 1098099-7 Bond 16/06/2020 16/06/2027
XS2257961818 XS2257961818 UPM-Kymmene Oyj 20/28 0,125% C 1041090-0 Bond 19/11/2020 19/11/2028
XS2320453884 XS2320453884 UPM-Kymmene Oyj 21/31 0,50% C 1041090-0 Bond 22/03/2021 22/03/2031
XS2478685931 XS2478685931 UPM-Kymmene Oyj 22/29 2,25% C 1041090-0 Bond 23/05/2022 23/05/2029
XS2886143770 XS2886143770 UPM-Kymmene Oyj 24/34 3,375% C 1041090-0 Bond 29/08/2024 29/08/2034
US915436AC33 US915436AC33 UPM-Kymmene Oyj 97/27 7,45% C 1041090-0 Bond 26/11/1997 26/11/2027
USX9518SAB44 USX9518SAB44 UPM-Kymmene Oyj 97/27 7,45% C 1041090-0 Bond 26/11/1997 26/11/2027
FI4000517826 UDKEN20220208 Uudenkaupungin kaupunki 22/27 0,466% 0144036-6 Bond 08/06/2022 08/06/2027
FI4000567094 VALJ400029 Valmet Oyj 24/29 4,00% C 2553019-8 Bond 13/03/2024 13/03/2029
FI4000523287 VRYJ237529 VR-Group Plc 22/29 2,375% C 1003521-5 Bond 30/05/2022 30/05/2029
FI4000512322 Y-Foundation sr (Y-Säätiö s 21/26 1,625% 0623680-7 Bond 04/10/2021 04/10/2026
FI4000496302 YITJ325026 YIT Oyj 21/26 3,25% C 0112650-2 Bond 31/03/2021 15/01/2026
FI4000496310 YITJ575026 YIT Oyj 21/PERP ADJ FLOOR C SUB 0112650-2 Bond 31/03/2021 31/03/2099
FI4000571278 YITJVAIH267 YIT Oyj 24/27 FRN FLOOR C 0112650-2 Bond 18/06/2024 18/06/2027