Rendite für Rating A3

Name WKN Kupon Laufzeit Rendite
Consolidated Edison of New York A2R17A 4.125% 15.05.2049 5,58%
Union Pacific A3KRLN 3.550% 20.05.2061 5,58%
Intercontinental Exchange A3K5SG 5.200% 15.06.2062 5,58%
International Business Machines A28WYX 2.950% 15.05.2050 5,58%
The East Ohio Gas A28YA7 3.000% 15.06.2050 5,58%
Zoetis A19NYV 3.950% 12.09.2047 5,57%
Endurance Specialty Holdings A0DADU 7.000% 15.07.2034 5,57%
NBCUniversal Media LLC A1GUY6 5.950% 01.04.2041 5,57%
Amphenol A3L5E2 5.375% 15.11.2054 5,57%
Marsh & McLennan Cos A3LU0J 5.450% 15.03.2054 5,57%
PayPal Holdings A3LZAH 5.500% 01.06.2054 5,56%
Enterprise Products Operating LLC A3KV54 3.300% 15.02.2053 5,56%
Northrop Grumman A1VJB9 3.850% 15.04.2045 5,56%
Union Pacific A3K869 5.150% 20.01.2063 5,56%
The Allstate A1HL6B 4.500% 15.06.2043 5,56%
Prudential Financial A2RYJV 4.350% 25.02.2050 5,56%
Legal & General Group A1ZLA1 5.500% 27.06.2064 5,56%
Marsh & McLennan Cos A3L5K5 5.400% 15.03.2055 5,56%
Union Pacific A19PCP 4.100% 15.09.2067 5,56%
Marsh & McLennan Cos A3LFCT 5.450% 15.03.2053 5,55%
Consolidated Edison of New York A3LYK8 5.700% 15.05.2054 5,55%
Marsh & McLennan Cos A3KZ0D 2.900% 15.12.2051 5,55%
Reckitt Benckiser Treasury Services A3LM55 5.625% 14.12.2038 5,55%
Simon Property Group A2R7JR 3.250% 13.09.2049 5,55%
International Business Machines A18X8X 4.700% 19.02.2046 5,55%
PayPal Holdings A3K5S7 5.050% 01.06.2052 5,55%
Glencore Finance Canada A1GW6G 6.000% 15.11.2041 5,55%
Consolidated Edison of New York A19JXA 3.875% 15.06.2047 5,55%
Pacific Life A3K9BZ 5.400% 15.09.2052 5,55%
AFLAC A2RTR6 4.750% 15.01.2049 5,55%
Marsh & McLennan Cos A2RWE8 4.900% 15.03.2049 5,54%
CSX A1Z0H9 3.950% 01.05.2050 5,54%
Northrop Grumman A3LT8R 5.200% 01.06.2054 5,54%
Consolidated Edison of New York A3KSEF 3.600% 15.06.2061 5,54%
CSX A2R7F1 3.350% 15.09.2049 5,54%
Pacific Life A282MN 3.350% 15.09.2050 5,54%
Marsh & McLennan Cos A19BQR 4.350% 30.01.2047 5,54%
Wells Fargo & A1UMBR 5.606% 15.01.2044 5,54%
PacifiCorp A0LPX6 5.750% 01.04.2037 5,54%
Enterprise Products Operating LLC A280XW 3.200% 15.02.2052 5,53%
Northrop Grumman A3LD58 4.950% 15.03.2053 5,53%
3M A28VA5 3.700% 15.04.2050 5,53%
Union Pacific A1VJBL 3.875% 01.02.2055 5,53%
Prudential Financial A19YJ7 4.418% 27.03.2048 5,53%
Union Pacific A2RX13 4.300% 01.03.2049 5,53%
Enterprise Products Operating LLC A19V31 4.250% 15.02.2048 5,53%
AbbVie A3LU95 5.500% 15.03.2064 5,52%
Tampa Electric A191UY 4.300% 15.06.2048 5,52%
Altria Group A1HSZB 5.375% 31.01.2044 5,52%
Oklahoma Gas & Electric A19MZX 3.850% 15.08.2047 5,52%