Rendite für Rating A2

Name WKN Kupon Laufzeit Rendite
The Walt Disney A2SACH 4.950% 15.10.2045 5,39%
Public Storage A3LLKH 5.350% 01.08.2053 5,39%
The Travelers Companies A19HT4 4.000% 30.05.2047 5,39%
The Home Depot A1Z2LL 4.250% 01.04.2046 5,39%
The Travelers Companies A19XFJ 4.050% 07.03.2048 5,39%
Chubb INA Holdings LLC A3KZCM 3.050% 15.12.2061 5,39%
Target A3LDAH 4.800% 15.01.2053 5,39%
Canadian National Railway A3LQN1 6.125% 01.11.2053 5,39%
The Home Depot A18539 3.500% 15.09.2056 5,39%
Air Products & Chemicals A28WVL 2.800% 15.05.2050 5,39%
QUALCOMM A3K488 4.500% 20.05.2052 5,39%
UBS Group A3LJ48 4.875% 15.05.2045 5,38%
Philip Morris International A1G8L9 3.875% 21.08.2042 5,38%
Sumitomo Mitsui Financial Group A3KWGC 2.930% 17.09.2041 5,38%
Atmos Energy A1HES2 4.150% 15.01.2043 5,38%
Archer Daniels Midland Company A3KV19 2.700% 15.09.2051 5,38%
Progressive Ohio A19FWL 4.125% 15.04.2047 5,38%
Pfizer A195MJ 4.200% 15.09.2048 5,38%
The Goldman Sachs Group A3KR3Y 5.149% 09.12.2026 5,38%
Kimberly-Clark A19G4P 3.900% 04.05.2047 5,37%
TWDC Enterprises 18 A1VFTU 4.125% 01.06.2044 5,37%
Burlington Northern Santa Fe LLC A181JY 3.900% 01.08.2046 5,37%
UnitedHealth Group A1HGTG 4.250% 15.03.2043 5,37%
The Home Depot A287DT 2.375% 15.03.2051 5,37%
Canadian National Railway A3K8BE 4.400% 05.08.2052 5,37%
Southern California Edison A0G3ZV 5.550% 15.01.2037 5,37%
JT International Financial Services BV A2RR61 2.750% 28.09.2033 5,37%
Philip Morris International A1ZR49 4.250% 10.11.2044 5,37%
QUALCOMM A28W7Q 3.250% 20.05.2050 5,36%
Applied Materials A28XZV 2.750% 01.06.2050 5,36%
WW Grainger A181J0 3.750% 15.05.2046 5,36%
The Walt Disney A2R7HP 2.750% 01.09.2049 5,36%
Southern California Edison A0GMR9 5.625% 01.02.2036 5,36%
Kimberly-Clark A1V1T6 3.200% 30.07.2046 5,36%
The Goldman Sachs Group A1ZLRD 4.800% 08.07.2044 5,36%
Bristol-Myers Squibb A3LUZT 5.500% 22.02.2044 5,36%
NSTAR Electric A3KRTW 3.100% 01.06.2051 5,36%
Analog Devices A18VY2 5.300% 15.12.2045 5,36%
Canadian National Railway A1V1VJ 3.200% 02.08.2046 5,35%
Philip Morris International A1G2M7 4.500% 20.03.2042 5,35%
Canadian National Railway A19V34 3.650% 03.02.2048 5,35%
UnitedHealth Group A1GMR5 5.950% 15.02.2041 5,35%
Burlington Northern Santa Fe LLC A1VJVB 4.150% 01.04.2045 5,35%
Philip Morris International A1HGV1 4.125% 04.03.2043 5,35%
KLA A3K61T 4.950% 15.07.2052 5,35%
The Home Depot A3K3WK 3.625% 15.04.2052 5,35%
The Home Depot A3KV11 2.750% 15.09.2051 5,35%
TJX Companies A28VQB 4.500% 15.04.2050 5,35%
The Home Depot A3K9JG 4.950% 15.09.2052 5,34%
Progressive Ohio A28U9C 3.950% 26.03.2050 5,34%