Stamdata

Active issues registered in Stamdata

5110 active issues registered in this market.

ISIN Ticker Name Org.nr. Type Issue Maturity
NO0013211136 3t Global Bidco PLC 24/28 11,25% USD C 15562274 Bond 22.05.2024 22.05.2028
NO0011128316 FFIN01 4finance S.A. 21/26 10,75% EUR C B173403 Bond 26.10.2021 26.10.2026
NO0010767734 NO0010767734 A.P. Møller - Mærsk A/S 16/26 3,30% 22756214 Bond 22.06.2016 22.06.2026
NO0012514274 SMF06 ESG AB Stena Metall Finans 22/27 FRN SEK C 556008-2561 Bond 03.05.2022 03.05.2027
NO0012909284 SMF07 ESG AB Stena Metall Finans 23/28 FRN SEK C 556008-2561 Bond 10.05.2023 10.05.2028
NO0010885312 ABAX01 Abax Group AS 20/25 FRN FLOOR C 918965556 Bond 23.06.2020 23.06.2025
XS0592463136 XS0592463136 ABN AMRO Bank N.V. 11/26 5,40% NOK 34334259 Bond 18.02.2011 18.02.2026
XS1309526157 XS1309526157 ABN AMRO Bank N.V. 15/25 3,10% NOK 34334259 Bond 23.10.2015 23.10.2025
NO0013143966 ACLH01 ACL Holdings Limited 24/27 11,50% EUR C 68957 Bond 16.02.2024 16.02.2027
NO0013180786 ADDV27 ADDvise Group AB 24/27 FRN USD C 556363-2115 Bond 04.04.2024 04.04.2027
XS2178609116 XS2178609116 Adecco International Fin 20/30 2,65% NOK 30212925 Bond 29.05.2020 29.08.2030
NO0010955909 ADBA05 PRO Advanzia Bank 21/31 FRN EUR FLOOR C SUB B109476 Tier 2 24.03.2021 24.03.2031
NO0010955891 ADBA04 PRO Advanzia Bank 21/PERP FRN FLOOR C HYBRID B109476 Tier 1 24.03.2021 24.03.2099
NO0013083576 ADBA06 PRO Advanzia Bank 23/PERP FRN FLOOR C HYBRID B109476 Tier 1 08.12.2023 08.12.2099
NO0013162743 ADBA07 PRO Advanzia Bank 24/34 FRN EUR FLOOR C SUB B109476 Tier 2 28.02.2024 28.02.2034
XS2333240864 XS2333240864 African Development Ban 21/26 1,303% NOK AfricanDevelopmentBank Bond 22.04.2021 22.04.2026
XS2596456389 XS2596456389 African Development Ban 23/28 3,753% NOK AfricanDevelopmentBank Bond 09.03.2023 09.03.2028
NO0010878622 AGFY01 Agder fylke 20/25 1,33% 921707134 Bond 14.04.2020 14.04.2025
NO0012508441 AGFY06 Agder fylke 22/25 FRN 921707134 Bond 21.04.2022 16.04.2025
NO0012758442 AGFY08 ESG Agder fylke 22/26 FRN 921707134 Bond 21.11.2022 23.02.2026
NO0012899923 AGFY09 Agder fylke 23/28 3,997% 921707134 Bond 25.04.2023 25.04.2028
NO0013319343 AGFY11 Agder fylke 24/27 FRN 921707134 Bond 23.08.2024 23.08.2027
NO0013382788 AGFY12 Agder fylke 24/27 FRN 921707134 Bond 25.10.2024 25.10.2027
NO0013392290 AGFY13 Agder fylke 24/28 FRN 921707134 Bond 08.11.2024 08.02.2028
NO0013213264 AGFY10 Agder fylke 24/30 4,418% 921707134 Bond 18.04.2024 17.04.2030
NO0010875917 AGDER13 PRO Agder Spb 20/25 FRN 937894260 Bond 28.02.2020 28.02.2025
NO0010907082 AGDER06 PRO Agder Spb 20/25 FRN 937894260 Bond 18.11.2020 18.11.2025
NO0010886385 AGDER05 PRO Agder Spb 20/PERP FRN STEP C HYBRID 937894260 Tier 1 23.06.2020 23.06.2099
NO0011109571 AGDER14 PRO Agder Spb 21/26 FRN 937894260 Bond 29.09.2021 29.09.2026
NO0010928997 AGDER07 PRO Agder Spb 21/31 FRN C SUB 937894260 Tier 2 17.02.2021 17.02.2031
NO0012450644 AGDER09 PRO Agder Spb 22/25 FRN 937894260 Bond 25.02.2022 25.08.2025
NO0012757709 AGDER19 PRO Agder Spb 22/25 FRN 937894260 Bond 18.11.2022 14.05.2025
NO0012698341 AGDER15 PRO Agder Spb 22/26 FRN 937894260 Bond 08.09.2022 08.04.2026
NO0012698358 AGDER16 PRO Agder Spb 22/27 FRN 937894260 Bond 09.09.2022 09.09.2027
NO0012757717 AGDER17 PRO Agder Spb 22/27 FRN 937894260 Bond 18.11.2022 18.03.2027
NO0012818105 AGDER18 PRO Agder Spb 23/28 FRN 937894260 Bond 20.01.2023 03.03.2028
NO0012841776 AGDER20 PRO Agder Spb 23/33 FRN C SUB 937894260 Tier 2 16.02.2023 16.05.2033
NO0013360008 AGDER22 PRO Agder Spb 24/28 FRN 937894260 Bond 04.10.2024 04.10.2028
NO0013210559 AGDER21 PRO Agder Spb 24/29 FRN 937894260 Bond 16.04.2024 06.04.2029
NO0013321349 Aider Konsern AS 24/28 FRN FLOOR C 923090029 Bond 05.09.2024 05.09.2028
NO0013152389 ASGL02 Airswift Global AS 24/29 10,00% USD C 927020556 Bond 28.02.2024 28.02.2029
NO0011029399 AKAAS02 PRO AKA AS 21/28 3,32% C 919513195 Bond 30.06.2021 30.06.2028
NO0012698390 AKA AS 22/27 FRN C 919513195 Bond 21.09.2022 21.09.2027
NO0013318725 AKAAS04 PRO AKA AS 24/29 5,65% C 919513195 Bond 28.08.2024 28.08.2029
NO0013318717 AKAAS03 PRO AKA AS 24/29 FRN FLOOR C 919513195 Bond 28.08.2024 28.08.2029
NO0010868979 AKER15 Aker ASA 19/24 FRN FLOOR C 886581432 Bond 22.11.2019 22.11.2024
NO0012708801 AKER17 ESG Aker ASA 22/27 6,275% 886581432 Bond 27.09.2022 27.09.2027
NO0012708819 AKER16 ESG Aker ASA 22/27 FRN FLOOR 886581432 Bond 27.09.2022 27.09.2027
NO0012755810 AKER18 ESG Aker ASA 22/29 6,50% 886581432 Bond 17.11.2022 17.11.2029
NO0012759028 AKER19 ESG Aker ASA 22/32 6,30% 886581432 Bond 22.11.2022 22.11.2032
NO0013120493 AKER20 Aker ASA 24/29 FRN FLOOR 886581432 Bond 15.01.2024 15.01.2029
NO0013200576 AKER21 Aker ASA 24/31 FRN FLOOR 886581432 Bond 15.04.2024 15.04.2031
NO0013326025 Aker Biomarine ASA 24/27 FRN C 913915062 Bond 12.09.2024 12.09.2027
US00973RAC79 US00973RAC79 Aker BP ASA 18/25 5,875% C 989795848 Bond 15.03.2018 31.03.2025
USR0140AAB54 USR0140AAB54 Aker BP ASA 18/25 5,875% C 989795848 Bond 22.03.2018 31.03.2025
US00973RAE36 US00973RAE36 Aker BP ASA 20/25 3,00% C 989795848 Bond 15.01.2020 15.01.2025
USR0139KAA80 USR0139KAA80 Aker BP ASA 20/25 3,00% C 989795848 Bond 15.01.2020 15.01.2025
US00973RAG83 US00973RAG83 Aker BP ASA 20/26 2,875% C 989795848 Bond 30.09.2020 15.01.2026
USR0139KAC47 USR0139KAC47 Aker BP ASA 20/26 2,875% C 989795848 Bond 30.09.2020 15.01.2026
US00973RAF01 US00973RAF01 Aker BP ASA 20/30 3,75% C 989795848 Bond 15.01.2020 15.01.2030
USR0139KAB63 USR0139KAB63 Aker BP ASA 20/30 3,75% C 989795848 Bond 15.01.2020 15.01.2030
US00973RAJ23 US00973RAJ23 Aker BP ASA 20/31 4,00% C 989795848 Bond 30.09.2020 15.01.2031
USR0139KAD20 USR0139KAD20 Aker BP ASA 20/31 4,00% C 989795848 Bond 30.09.2020 15.01.2031
USN5369RAA79 USN5369RAA79 Aker BP ASA 21/26 2,00% C 989795848 Bond 23.06.2021 15.07.2026
XS2341269970 XS2341269970 Aker BP ASA 21/29 1,125% C 989795848 Bond 12.05.2021 12.05.2029
US55037AAB44 US55037AAB44 Aker BP ASA 21/31 3,10% C 989795848 Bond 23.06.2021 15.07.2031
USN5369RAB52 USN5369RAB52 Aker BP ASA 21/31 3,10% C 989795848 Bond 23.06.2021 15.07.2031
US55037AAA60 US55037AAA60 Aker BP ASA 22/26 2,00% C 989795848 Bond 23.06.2022 15.07.2026
US00973RAL78 Aker BP ASA 23/28 5,60% C 989795848 Bond 13.06.2023 13.06.2028
USR0139KAF77 Aker BP ASA 23/28 5,60% C 989795848 Bond 13.06.2023 13.06.2028
US00973RAM51 Aker BP ASA 23/33 6,00% C 989795848 Bond 13.06.2023 13.06.2033
USR0139KAG50 Aker BP ASA 23/33 6,00% C 989795848 Bond 13.06.2023 13.06.2033
XS2830454554 XS2830454554 Aker BP ASA 24/32 4,00% C 989795848 Bond 29.05.2024 29.05.2032
NO0010923220 AKH01 ESG Aker Horizons ASA 21/25 FRN FLOOR C 925978558 Bond 15.02.2021 15.08.2025
NO0010921596 Aker Horizons ASA 21/26 1,50% SUB CONV 925978558 Convertible 05.02.2021 05.02.2026
NO0010914724 AKEN05 ESG Akershus Energi AS 20/27 FRN 976542606 Bond 17.12.2020 17.12.2027
NO0010914740 AKEN06 ESG Akershus Energi AS 20/30 2,015% 976542606 Bond 17.12.2020 17.12.2030
NO0010876121 VIFY02 Akershus fylke 20/28 2,04% 930580783 Bond 28.02.2020 28.08.2028
NO0012990003 VIFY07 Akershus fylke 23/26 FRN 930580783 Bond 16.08.2023 16.02.2026
NO0013232488 AKFY06 Akershus fylke 24/26 FRN 930580783 Bond 16.05.2024 15.05.2026
NO0013339069 Akershus fylke 4,497% CERT 365 180925 930580783 CD 18.09.2024 18.09.2025
NO0013315325 Akershus fylke 4,78% CERT 122 161224 930580783 CD 16.08.2024 16.12.2024
NO0013167171 Akershus fylke 5,019% CERT 364 210225 930580783 CD 23.02.2024 21.02.2025
NO0010747793 Akersveien Eiendom AS 15/25 3,80% STEP C 914531012 Bond 20.11.2015 20.11.2025
XS2225430706 XS2225430706 Aktia Bank Abp 20/30 1,87% NOK 2181702-8 Bond 02.09.2020 02.09.2030
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
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
XS2461273950 XS2461273950 Aktia Bank Abp 22/34 3,66% NOK 2181702-8 Bond 23.03.2022 23.03.2034
XS2577113827 XS2577113827 Aktia Bank Abp 23/26 FRN NOK 2181702-8 Bond 19.01.2023 19.01.2026
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
XS2919073853 XS2919073853 Aktia Bank Abp 24/27 FRN NOK 2181702-8 Bond 14.10.2024 14.10.2027
NO0013260349 Aktieselskabet Schouw & 24/29 FRN FLOOR 63965812 Bond 18.06.2024 18.06.2029
XS0298486704 XS0298486704 Alexandria Capital Publi 07/39 5,05% NOK 373534 Bond 18.05.2007 04.04.2039
XS1344387979 XS1344387979 Alimentation Couche-Ta 16/26 3,85% NOK C 1140710543 Bond 18.02.2016 18.02.2026
XS1703060746 XS1703060746 Alperia S.p.A. 17/27 3,116% NOK 815600117D7977461B75 Bond 18.10.2017 18.10.2027
NO0011167785 AST03 Altera Shuttle Tankers 21/25 9,50% USD C 963935 Bond 15.12.2021 15.12.2025
NO0013172734 AST04 Altera Shuttle Tankers 24/28 9,00% USD C 963935 Bond 13.03.2024 13.03.2028
NO0012639519 AVKO05 Alver komm 22/25 FRN 920290922 Bond 25.08.2022 25.02.2025
NO0013019158 AVKO07 Alver komm 23/26 FRN 920290922 Bond 18.09.2023 18.03.2026
NO0012843095 AVKO06 Alver komm 23/28 3,80% 920290922 Bond 17.02.2023 17.02.2028
NO0013334102 AVKO08 Alver komm 24/27 FRN 920290922 Bond 12.09.2024 12.03.2027
NO0013318667 Alver komm 4,68% CERT 365 220825 920290922 CD 22.08.2024 22.08.2025
NO0013353300 Alver komm 4,758% CERT 087 201224 920290922 CD 24.09.2024 20.12.2024
NO0013182154 Alver komm 4,858% CERT 365 140325 920290922 CD 14.03.2024 14.03.2025
NO0011003352 Aquaticus Fröf AB 21/27 2,31% SEK STEP C 556950-3021 Bond 30.06.2021 30.04.2027
NO0012878992 ARNO01 PRO Archer Norge AS 23/27 FRN USD FLOOR C 991478450 Bond 03.04.2023 06.07.2027
NO0013275131 Arctic Prosjekt 163 AS 24/25 15,00% C 923641491 Bond 28.06.2024 31.05.2025
NO0010774656 ARKO02 Arendal komm 16/26 2,208% 940493021 Bond 16.09.2016 16.09.2026
NO0010878739 ARKO05 Arendal komm 20/25 1,33% 940493021 Bond 15.04.2020 15.04.2025
NO0013019075 ARKO10 Arendal komm 23/25 FRN 940493021 Bond 15.09.2023 15.09.2025
NO0013061317 ARKO11 Arendal komm 23/25 FRN 940493021 Bond 02.11.2023 03.11.2025
NO0012838251 ARKO09 Arendal komm 23/28 3,509% 940493021 Bond 10.02.2023 10.02.2028
NO0012943176 ARKO12 Arendal komm 23/33 4,318% 940493021 Bond 15.06.2023 15.06.2033
NO0013320010 ARKO13 Arendal komm 24/27 FRN 940493021 Bond 23.08.2024 23.08.2027
NO0013359992 Arendal komm 4,60% CERT 365 031025 940493021 CD 03.10.2024 03.10.2025
NO0013315952 Arendal komm 4,63% CERT 365 190825 940493021 CD 19.08.2024 19.08.2025
NO0013355289 Arendal komm 4,748% CERT 181 270325 940493021 CD 27.09.2024 27.03.2025
NO0013391623 Arendal komm 4,80% CERT 212 050625 940493021 CD 05.11.2024 05.06.2025
NO0013405738 Arendal komm 4,85% CERT 151 150425 940493021 CD 15.11.2024 15.04.2025
NO0010945207 Arendals Fossekompani ASA 21/28 2,615% C 910261525 Bond 24.03.2021 24.03.2028
XS1603891174 XS1603891174 Arion Banki hf 17/27 3,40% NOK 581008-0150 Bond 28.04.2017 28.04.2027
XS2521227459 XS2521227459 Arion Banki hf 22/25 FRN NOK 581008-0150 Bond 18.08.2022 18.08.2025
XS2600258136 Arion Banki hf 23/25 FRN NOK 581008-0150 Bond 21.03.2023 21.03.2025
XS2915465442 XS2915465442 Arion Banki hf 24/27 FRN NOK 581008-0150 Bond 08.10.2024 08.10.2027
XS1639847760 XS1639847760 Aroundtown SA 17/27 3,295% NOK 217868 Bond 05.07.2017 05.07.2027
XS1966277748 XS1966277748 Aroundtown SA 19/29 4,43% NOK 217868 Bond 27.03.2019 27.03.2029
XS2198981263 XS2198981263 Aroundtown SA 20/25 FRN NOK 217868 Bond 03.07.2020 03.07.2025
NO0013149674 ARVA02 PRO ESG Arva AS 24/29 4,796% 979151950 Bond 16.02.2024 16.02.2029
NO0013149666 ARVA01 PRO ESG Arva AS 24/29 FRN 979151950 Bond 16.02.2024 16.02.2029
NO0010721913 EIDEF01 PRO AS Eidefoss 14/26 4,10% 911305631 Bond 14.10.2014 14.10.2026
XS2244316944 XS2244316944 Asian Development Bank 20/25 0,62% NOK AsianDevelopmentBank Bond 21.10.2020 21.10.2025
XS2284318180 XS2284318180 Asian Development Bank 21/26 0,877% NOK AsianDevelopmentBank Bond 19.01.2021 19.01.2026
XS2352748334 XS2352748334 Asian Development Bank 21/26 1,342% NOK AsianDevelopmentBank Bond 18.06.2021 18.06.2026
XS2303841931 XS2303841931 Asian Development Bank 21/36 1,6175% NOK AsianDevelopmentBank Bond 26.02.2021 26.02.2036
XS2749527417 XS2749527417 Asian Development Bank 24/29 3,625% NOK AsianDevelopmentBank Bond 22.01.2024 22.01.2029
NO0010941115 AKO12 Asker komm 21/26 1,467% 920125298 Bond 26.02.2021 26.02.2026
NO0012866658 AKO13 Asker komm 23/25 FRN 920125298 Bond 15.03.2023 14.03.2025
NO0013133892 AKO14 Asker komm 24/27 FRN 920125298 Bond 19.01.2024 19.01.2027
NO0013265256 AKO15 Asker komm 24/27 FRN 920125298 Bond 21.06.2024 21.06.2027
NO0013354647 Asker komm 4,585% CERT 364 260925 920125298 CD 27.09.2024 26.09.2025
NO0013100685 Asker komm 4,73% CERT 364 131224 920125298 CD 15.12.2023 13.12.2024
NO0013161919 Asker komm 4,85% CERT 364 140225 920125298 CD 16.02.2024 14.02.2025
NO0013214114 Asker komm 4,905% CERT 356 100425 920125298 CD 19.04.2024 10.04.2025
NO0010976301 ASKSB24 PRO Askim & Spydebe Spb 21/31 FRN STEP C SUB 937885199 Tier 2 16.04.2021 16.04.2031
NO0013008763 ASKSB31 PRO Askim & Spydebe Spb 23/33 FRN STEP C SUB 937885199 Tier 2 05.09.2023 05.12.2033
NO0012909250 ASKSB30 PRO Askim & Spydebe Spb 23/PERP FRN C HYBRID 937885199 Tier 1 10.05.2023 10.05.2099
NO0010869787 ASKSB21 PRO Askim & Spydeberg Spb 19/24 FRN 937885199 Bond 04.12.2019 04.12.2024
NO0010901135 ASKSB22 PRO Askim & Spydeberg Spb 20/25 FRN 937885199 Bond 27.10.2020 27.10.2025
NO0011073199 ASKSB26 PRO Askim & Spydeberg Spb 21/25 FRN 937885199 Bond 16.08.2021 16.05.2025
NO0010934797 ASKSB23 PRO Askim & Spydeberg Spb 21/26 FRN 937885199 Bond 18.02.2021 18.05.2026
NO0011114373 ASKSB27 PRO Askim & Spydeberg Spb 21/26 FRN 937885199 Bond 01.10.2021 01.10.2026
NO0012517624 ASKSB28 PRO Askim & Spydeberg Spb 22/27 FRN 937885199 Bond 04.05.2022 04.05.2027
NO0012902123 ASKSB29 PRO Askim & Spydeberg Spb 23/28 FRN 937885199 Bond 27.04.2023 27.04.2028
NO0013053454 ASKSB32 PRO Askim & Spydeberg Spb 23/28 FRN 937885199 Bond 19.10.2023 19.10.2028
NO0013094300 ASKSB33 PRO Askim & Spydeberg Spb 23/29 FRN 937885199 Bond 06.12.2023 06.06.2029
NO0013334136 ASKSB35 PRO Askim & Spydeberg Spb 24/27 FRN 937885199 Bond 12.09.2024 12.09.2027
NO0013180760 ASKSB34 PRO ESG Askim & Spydeberg Spb 24/29 FRN 937885199 Bond 14.03.2024 14.03.2029
NO0011184749 Askim Eiendomsinvest II AS 22/25 4,95% C 921466897 Bond 10.02.2022 10.02.2025
NO0010901143 AYKO05 Askøy komm 20/25 FRN 964338442 Bond 29.10.2020 29.10.2025
NO0011095473 Askøy komm 21/25 FRN 964338442 Bond 15.09.2021 15.09.2025
NO0013066340 AYKO07 Askøy komm 23/26 FRN 964338442 Bond 13.11.2023 13.11.2026
NO0013260315 AYKO08 Askøy komm 24/27 FRN 964338442 Bond 13.06.2024 14.06.2027
NO0013392340 AYKO09 Askøy komm 24/27 FRN 964338442 Bond 06.11.2024 05.11.2027
NO0013329938 Askøy komm 4,785% CERT 153 060225 964338442 CD 06.09.2024 06.02.2025
NO0013389510 Askøy komm 4,827% CERT 120 040325 964338442 CD 04.11.2024 04.03.2025
NO0013324111 Askøy komm 4,83% CERT 184 280225 964338442 CD 28.08.2024 28.02.2025
NO0013314682 Askøy komm 4,84% CERT 186 170225 964338442 CD 15.08.2024 17.02.2025
NO0013265959 Askøy komm 4,885% CERT 273 210325 964338442 CD 21.06.2024 21.03.2025
XS1636267996 XS1636267996 Assa Abloy AB 17/27 2,65% NOK 556059-3575 Bond 28.06.2017 28.06.2027
XS1698119382 XS1698119382 Assa Abloy AB 17/27 2,68% NOK 556059-3575 Bond 12.10.2017 12.10.2027
XS2772108861 XS2772108861 Assa Abloy AB 24/32 4,792% NOK 556059-3575 Bond 01.03.2024 01.03.2032
NO0010835523 LJGR 201 Atrium Ljungberg AB 18/28 3,845% 556175-7047 Bond 06.11.2018 06.11.2028
NO0010875289 LJGR 203 Atrium Ljungberg AB 20/26 FRN 556175-7047 Bond 18.02.2020 18.02.2026
NO0010907256 LJGR 204 Atrium Ljungberg AB 20/27 2,39% 556175-7047 Bond 23.11.2020 23.11.2027
NO0012514233 LJGR 205 Atrium Ljungberg AB 22/26 FRN 556175-7047 Bond 06.05.2022 06.08.2026
NO0010892284 AURG48 PRO Aurskog Spb 20/25 FRN 937885644 Bond 02.09.2020 02.09.2025
NO0011086944 AURG52 PRO Aurskog Spb 21/25 FRN 937885644 Bond 01.09.2021 01.12.2025
NO0010920861 AURG50 PRO Aurskog Spb 21/26 FRN 937885644 Bond 27.01.2021 27.04.2026
NO0011184731 AURG53 PRO Aurskog Spb 21/26 FRN 937885644 Bond 23.12.2021 23.11.2026
NO0011018400 AURG51 PRO Aurskog Spb 21/31 FRN C SUB 937885644 Tier 2 09.06.2021 09.06.2031
NO0012757733 AURG55 PRO Aurskog Spb 22/27 FRN 937885644 Bond 18.11.2022 18.03.2027
NO0012894577 AURG56 PRO Aurskog Spb 23/27 FRN 937885644 Bond 14.04.2023 14.10.2027
NO0012902792 AURG57 PRO ESG Aurskog Spb 23/28 FRN 937885644 Bond 28.04.2023 28.04.2028
NO0013004531 AURG59 PRO Aurskog Spb 23/28 FRN 937885644 Bond 25.08.2023 25.08.2028
NO0013073080 AURG60 PRO Aurskog Spb 23/29 FRN 937885644 Bond 20.11.2023 20.02.2029
NO0012916149 AURG58 PRO Aurskog Spb 23/33 FRN C SUB 937885644 Tier 2 15.05.2023 15.08.2033
NO0013071936 AURG61 PRO Aurskog Spb 23/PERP ADJ C HYBRID 937885644 Tier 1 21.11.2023 21.11.2099
NO0013182741 AURG62 PRO Aurskog Spb 24/27 FRN 937885644 Bond 15.03.2024 15.06.2027
NO0013224477 AURG65 PRO Aurskog Spb 24/29 FRN 937885644 Bond 07.05.2024 07.08.2029
NO0013257428 AURG66 PRO Aurskog Spb 24/30 FRN 937885644 Bond 12.06.2024 12.06.2030
NO0013387837 AURG67 PRO Aurskog Spb 24/30 FRN 937885644 Bond 31.10.2024 31.01.2030
NO0013188672 AURG63 PRO Aurskog Spb 24/34 ADJ C SUB 937885644 Tier 2 26.03.2024 26.09.2034
NO0013197699 AURG64 PRO Aurskog Spb 24/PERP ADJ C HYBRID 937885644 Tier 1 10.04.2024 10.04.2099
NO0013351130 Aurskog-Høland ko 4,587% CERT 365 230925 948164256 CD 23.09.2024 23.09.2025
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NO0013186494 Austrheim komm FRN CERT 364 210325 948350823 CD 22.03.2024 21.03.2025
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NO0010984172 Avenyen Invest AS 21/26 FRN C 926350072 Bond 29.04.2021 29.04.2026
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XS1224958501 XS1224958501 Avinor AS 15/25 1,00% C 985198292 Bond 29.04.2015 29.04.2025
XS1562601424 XS1562601424 Avinor AS 17/27 1,25% C 985198292 Bond 09.02.2017 09.02.2027
NO0010881246 AVINOR13 Avinor AS 20/26 FRN C 985198292 Bond 29.04.2020 29.04.2026
XS2239067379 XS2239067379 Avinor AS 20/30 0,75% C 985198292 Bond 01.10.2020 01.10.2030
NO0010881238 AVINOR12 Avinor AS 20/31 2,38% C 985198292 Bond 29.04.2020 29.04.2031
XS2825539617 XS2825539617 Avinor AS 24/34 3,50% C 985198292 Bond 29.05.2024 29.05.2034
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NO0013005264 ACR04 Axactor ASA 23/27 FRN FLOOR C 921896328 Bond 07.09.2023 07.09.2027
NO0013017657 AZE03 Azerion Group N.V. 23/26 FRN EUR FLOOR C 81697244 Bond 02.10.2023 02.10.2026
NO0013138966 B2I07 B2 Impact ASA 24/28 FRN EUR FLOOR C 992249986 Bond 30.01.2024 30.01.2028
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NO0012451246 BAMKO04 Bamble komm 22/26 2,50% 940244145 Bond 25.02.2022 25.02.2026
NO0012989948 BAMKO05 Bamble komm 23/25 FRN 940244145 Bond 17.08.2023 18.08.2025
NO0013329896 BAMKO06 Bamble komm 24/27 FRN 940244145 Bond 06.09.2024 06.09.2027
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XS1716333460 XS1716333460 Banco Santander, S.A. 17/27 3,01% NOK A39000013 Tier 3 17.11.2017 17.11.2027
XS1864167918 XS1864167918 Banco Santander, S.A. 18/28 3,71% NOK A39000013 Tier 3 30.08.2018 30.08.2028
XS1875334572 XS1875334572 Banco Santander, S.A. 18/33 3,80% NOK A39000013 Tier 3 11.09.2018 11.09.2033
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XS2670472278 XS2670472278 Banco Santander, S.A. 23/33 5,32% NOK A39000013 Bond 25.08.2023 25.08.2033
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NO0010931793 BNORE19 PRO ESG Bane NOR Eiendom AS 21/26 FRN 980374505 Bond 18.02.2021 18.02.2026
NO0010931801 BNORE20 PRO ESG Bane NOR Eiendom AS 21/28 FRN 980374505 Bond 18.02.2021 18.02.2028
NO0012548843 BNORE25 PRO ESG Bane NOR Eiendom AS 22/25 FRN 980374505 Bond 16.06.2022 16.06.2025
NO0012439522 BNORE23 PRO Bane NOR Eiendom AS 22/27 2,92% 980374505 Bond 11.02.2022 11.02.2027
NO0012548850 BNORE26 PRO ESG Bane NOR Eiendom AS 22/27 FRN 980374505 Bond 16.06.2022 16.06.2027
NO0012929605 BNORE30 PRO ESG Bane NOR Eiendom AS 23/26 FRN 980374505 Bond 05.06.2023 05.06.2026
NO0012881186 BNORE27 PRO ESG Bane NOR Eiendom AS 23/28 FRN 980374505 Bond 29.03.2023 29.09.2028
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NO0012929571 BNORE28 PRO ESG Bane NOR Eiendom AS 23/29 5,00% 980374505 Bond 05.06.2023 05.06.2029
NO0013354621 BNORE31 PRO ESG Bane NOR Eiendom AS 24/31 FRN 980374505 Bond 30.09.2024 30.09.2031
XS2349716626 XS2349716626 Bank of America Corporat 21/32 2,60% NOK 2927442 Bond 09.06.2021 09.06.2032
XS2499242613 XS2499242613 Bank of Montreal 22/32 4,48% NOK 1143704915 Bond 06.07.2022 06.07.2032
FR001400AQU3 FR001400AQU3 Banque Fédérative du Cr 22/32 3,815% NOK 355801929 Bond 07.06.2022 25.05.2032
XS1110828040 XS1110828040 Banque Fédérative du Cré 14/26 3,42% NOK 355801929 Bond 23.09.2014 23.09.2026
FR001400AWR7 FR001400AWR7 Banque Fédérative du Cré 22/34 3,87% NOK 355801929 Bond 14.06.2022 14.06.2034
XS2257865183 XS2257865183 Banque Internationale à 20/30 1,83% NOK B6307 Bond 20.11.2020 20.11.2030
XS2289136934 XS2289136934 Banque Internationale à 21/31 2,225% NOK B6307 Bond 27.01.2021 27.01.2031
XS2300341927 XS2300341927 Banque Internationale à 21/31 2,325% NOK B6307 Bond 24.02.2021 24.02.2031
XS1877955168 XS1877955168 Barclays Plc 18/28 3,773% NOK 00048839 Bond 11.09.2018 11.09.2028
NO0013355297 Bardu komm 4,627% CERT 365 011025 864993982 CD 01.10.2024 01.10.2025
NO0013329920 Bardu komm 4,709% CERT 273 060625 864993982 CD 06.09.2024 06.06.2025
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NO0012496688 BAYP 009 Bayport Managemen Ltd 22/25 13,00% USD C 54787/C1/GBL Bond 20.05.2022 20.05.2025
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NO0013383422 Berg Spb 24/28 FRN 937885288 Bond 28.10.2024 28.04.2028
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NO0012550138 BEKO19 Bergen komm 22/25 FRN 964338531 Bond 14.06.2022 16.06.2025
NO0012550146 BEKO20 Bergen komm 22/26 FRN 964338531 Bond 14.06.2022 15.06.2026
NO0012781907 BEKO21 Bergen komm 22/27 3,68% 964338531 Bond 12.12.2022 13.12.2027
NO0012877374 BEKO23 Bergen komm 23/25 3,699% 964338531 Bond 24.03.2023 24.03.2025
NO0013066910 BEKO25 Bergen komm 23/25 4,77% 964338531 Bond 09.11.2023 10.11.2025
NO0012947458 BEKO24 Bergen komm 23/25 FRN 964338531 Bond 20.06.2023 22.09.2025
NO0013073627 BEKO26 Bergen komm 23/26 4,685% 964338531 Bond 21.11.2023 23.11.2026
NO0012816844 BEKO22 Bergen komm 23/28 3,52% 964338531 Bond 18.01.2023 18.01.2028
NO0013197665 BEKO27 Bergen komm 24/26 FRN 964338531 Bond 05.04.2024 17.04.2026
NO0013220830 BEKO28 Bergen komm 24/26 FRN 964338531 Bond 29.04.2024 23.01.2026
NO0013260950 BEKO29 Bergen komm 24/26 FRN 964338531 Bond 14.06.2024 14.09.2026
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NO0013334086 BEKO30 Bergen komm 24/27 3,885% 964338531 Bond 11.09.2024 11.03.2027
NO0013388439 BEKO32 Bergen komm 24/27 FRN 964338531 Bond 04.11.2024 04.11.2027
NO0013379479 Bergen komm 4,857% CERT 098 240125 964338531 CD 18.10.2024 24.01.2025
NO0013238220 Bergen komm 4,865% CERT 365 230525 964338531 CD 23.05.2024 23.05.2025
NO0013244764 Bergen komm 4,87% CERT 364 230525 964338531 CD 24.05.2024 23.05.2025
NO0010778285 Berger Terminal Ho AS 16/26 3,25% STEP C 923641556 Bond 15.11.2016 15.11.2026
SE0016276398 BWASA BEWI ASA 21/26 FRN EUR C 925437948 Bond 03.09.2021 03.09.2026
NO0012514324 BINT01 BEWI Inv AS 22/PERP FRN FLOOR STEP C SUB 920225268 Bond 29.04.2022 29.04.2099
NO0013223487 BEWI Invest AS NO0012514324 IN 290424 920225268 Claim, Interest 29.04.2024 29.04.2099
NO0013300483 BEWI Invest AS NO0012514324 IN 290724 920225268 Claim, Interest 29.07.2024 29.07.2099
NO0013387845 BEWI Invest AS NO0012514324 IN 291024 920225268 Claim, Interest 29.10.2024 29.10.2099
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NO0010873789 SBBI30 PRO Bien Spb ASA 20/25 FRN 991853995 Bond 22.01.2020 22.01.2025
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NO0012727249 SBBI34 PRO Bien Spb ASA 22/PERP FRN STEP C HYBRID 991853995 Tier 1 19.10.2022 19.10.2099
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NO0013056788 BIEN02 PRO Bien Spb ASA 23/28 FRN 991853995 Bond 25.10.2023 25.10.2028
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NO0013243774 BIEN04 PRO Bien Spb ASA 24/27 FRN 991853995 Bond 27.05.2024 27.05.2027
NO0013325381 BIEN05 PRO Bien Spb ASA 24/29 FRN 991853995 Bond 30.08.2024 30.08.2029
NO0013181503 Bien Spb ASA FRN CERT 365 140325 991853995 CD 14.03.2024 14.03.2025
NO0013277566 BioCirc Group Hold 24/28 FRN EUR FLOOR C 43302485 Bond 19.07.2024 19.07.2028
NO0013126045 Birkenes Spb 24/27 FRN 937893833 Bond 18.01.2024 18.01.2027
NO0012494576 BJSP06 PRO Bjugn Spb 22/25 FRN 937902085 Bond 07.04.2022 15.05.2025
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NO0013229153 BJSP08 PRO Bjugn Spb 24/27 FRN 937902085 Bond 10.05.2024 19.05.2027
NO0013233130 BJSP09 PRO Bjugn Spb 24/28 FRN 937902085 Bond 22.05.2024 22.05.2028
NO0013318675 Bjørnafjorden kom 4,809% CERT 092 211124 844458312 CD 21.08.2024 21.11.2024
NO0010770837 OSKO01 Bjørnafjorden komm 16/26 2,07% 844458312 Bond 25.08.2016 25.08.2026
NO0010860976 OSKO03 Bjørnafjorden komm 19/29 1,88% 844458312 Bond 22.08.2019 22.08.2029
NO0012908682 BFKO01 Bjørnafjorden komm 23/28 4,01% 844458312 Bond 04.05.2023 04.05.2028
NO0013209866 BFKO02 Bjørnafjorden komm 24/34 4,375% 844458312 Bond 11.04.2024 11.04.2034
NO0013333450 Bjørnafjorden komm 4,80% CERT 091 101224 844458312 CD 10.09.2024 10.12.2024
NO0010851520 BNOR13 Blue ASA 19/27 8,00% USD STEP C SUB CONV 987989297 Convertible 26.07.2019 26.07.2027
NO0012780867 BNOR15 Blue ASA 22/27 8,00% USD STEP C SUB CONV 987989297 Convertible 30.12.2022 26.07.2027
NO0013261735 BlueNord ASA 24/29 9,50% USD C 987989297 Bond 02.07.2024 02.07.2029
NO0012535865 BANKTO05 PRO Bluestep Bank AB 22/32 FRN C SUB 556717-5129 Tier 2 31.05.2022 01.09.2032
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XS2913236001 XS2913236001 BMW International Invest 24/33 4,50% NOK 17171669 Bond 07.10.2024 07.10.2033
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NO0010871445 BNB91 PRO BN Bank ASA 19/29 FRN C SUB 914864445 Tier 2 18.12.2019 18.12.2029
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NO0011121808 BNB96 PRO BN Bank ASA 21/28 2,30% 914864445 Bond 11.10.2021 11.10.2028
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NO0013100594 BNB105 PRO BN Bank ASA 23/34 FRN C SUB 914864445 Tier 2 19.12.2023 19.03.2034
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NO0013354662 BNB112 PRO BN Bank ASA 24/35 ADJ C SUB 914864445 Tier 2 30.09.2024 16.04.2035
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FR0014001JW7 FR0014001JW7 BNP Paribas SA 21/29 FRN NOK C 662042449 Tier 3 20.01.2021 20.01.2029
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NO0013262337 Bodø komm 4,865% CERT 182 131224 972418013 CD 14.06.2024 13.12.2024
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NO0013331256 BPS Nord - Bypa AS 4,82% CERT 091 091224 989765701 CD 09.09.2024 09.12.2024
NO0013323477 BPS Nord - Bypa AS 4,85% CERT 092 271124 989765701 CD 27.08.2024 27.11.2024
NO0013363218 BPS Nord - Bypa AS 4,97% CERT 092 080125 913004531 CD 08.10.2024 08.01.2025
NO0013401927 BPS Nord - Bypa AS 5,02% CERT 094 100225 913004531 CD 08.11.2024 10.02.2025
NO0013338376 BPS Nord - E6 H AS 4,86% CERT 091 171224 914458226 CD 17.09.2024 17.12.2024
NO0013351122 BPS Nord - E6 H AS 4,88% CERT 088 201224 914458226 CD 23.09.2024 20.12.2024
NO0013384636 BPS Nord - E6 H AS 5,02% CERT 092 280125 914458226 CD 28.10.2024 28.01.2025
NO0013289389 BPS Nord - FV78 AS 4,99% CERT 184 150125 981458958 CD 15.07.2024 15.01.2025
NO0013367623 BPS Nord - FV78 AS 5,05% CERT 092 150125 981458958 CD 15.10.2024 15.01.2025
NO0013331264 BPS Nord - Hålo AS 4,82% CERT 091 091224 983538894 CD 09.09.2024 09.12.2024
NO0010697923 BPS Nord - Hålogalandsbru AS 13/25 3,99% 983538894 Bond 09.12.2013 09.12.2025
NO0010891930 BRFI39 PRO Brage Finans AS 20/25 FRN 995610760 Bond 01.09.2020 01.09.2025
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NO0013350561 Buskerud fylke 4,758% CERT 091 201224 930580260 CD 20.09.2024 20.12.2024
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NO0013336248 Bærum komm 4,685% CERT 182 170325 935478715 CD 16.09.2024 17.03.2025
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NO0010874472 EIEN30 Eidsiva Energi AS 20/27 FRN 983424082 Bond 12.02.2020 12.02.2027
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NO0013311969 Eidsvoll komm 4,635% CERT 365 120825 964950113 CD 12.08.2024 12.08.2025
NO0013334185 Eidsvoll komm 4,785% CERT 091 131224 964950113 CD 13.09.2024 13.12.2024
NO0013261701 Eidsvoll komm 4,827% CERT 364 130625 964950113 CD 14.06.2024 13.06.2025
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NO0013005306 ELK06 ESG Elkem ASA 23/28 FRN FLOOR 911382008 Bond 31.08.2023 31.08.2028
NO0013331280 ELK09 Elkem ASA 24/27 FRN FLOOR 911382008 Bond 17.09.2024 17.09.2027
NO0013331298 ELK10 Elkem ASA 24/29 FRN FLOOR 911382008 Bond 17.09.2024 17.09.2029
NO0013331272 ELK08 Elkem ASA 24/31 FRN FLOOR 911382008 Bond 17.09.2024 17.09.2031
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NO0013234518 Elopak ASA 24/29 FRN 811413682 Bond 28.05.2024 28.05.2029
NO0013234534 Elopak ASA 24/31 5,48% 811413682 Bond 28.05.2024 28.05.2031
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NO0013320788 Elverum komm 4,768% CERT 094 251124 952857991 CD 23.08.2024 25.11.2024
NO0013388496 Elverum komm 4,827% CERT 119 280225 952857991 CD 01.11.2024 28.02.2025
NO0013384040 Elverum komm 4,899% CERT 098 310125 952857991 CD 25.10.2024 31.01.2025
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NO0010984917 Entertainment AS NO0010915267 IN 190421 917608520 Claim, Interest 19.04.2021 19.04.2099
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NO0010886856 ENTRA52 ESG Entra ASA 20/27 FRN 999296432 Bond 29.06.2020 29.06.2027
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NO0011094625 ENTRA64 ESG Entra ASA 21/26 FRN 999296432 Bond 10.09.2021 10.09.2026
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NO0013329953 Entra ASA 5,20% CERT 181 100325 999296432 CD 10.09.2024 10.03.2025
NO0013387928 Entra ASA 5,20% CERT 182 020525 999296432 CD 01.11.2024 02.05.2025
NO0013318659 Entra ASA 5,35% CERT 184 210225 999296432 CD 21.08.2024 21.02.2025
NO0013267385 Entra ASA 5,40% CERT 178 191224 999296432 CD 24.06.2024 19.12.2024
NO0013215467 Entra ASA 5,60% CERT 245 231224 999296432 CD 22.04.2024 23.12.2024
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XS2100001192 XS2100001192 European Investment Bank 20/25 1,75% NOK 100000128 Bond 15.01.2020 13.03.2025
NO0010895493 NO0010895493 European Investment Bank 20/25 FRN 100000128 Bond 21.10.2020 21.10.2025
XS2338004497 XS2338004497 European Investment Bank 21/27 1,25% NOK 100000128 Bond 06.05.2021 17.02.2027
XS2304339174 XS2304339174 European Investment Bank 21/36 1,65% NOK 100000128 Bond 25.02.2021 25.02.2036
XS2552878857 XS2552878857 European Investment Bank 22/28 3,75% NOK 100000128 Bond 09.11.2022 09.05.2028
NO0010901838 BKK51 PRO Eviny AS 20/25 FRN 880309102 Bond 28.10.2020 28.01.2025
NO0010872948 BKK48 PRO ESG Eviny AS 20/26 FRN 880309102 Bond 16.01.2020 16.01.2026
NO0010873003 BKK49 PRO ESG Eviny AS 20/27 FRN 880309102 Bond 20.01.2020 20.01.2027
NO0011073819 BKK52 PRO Eviny AS 21/26 FRN 880309102 Bond 20.08.2021 20.08.2026
NO0011073181 BKK53 PRO Eviny AS 21/27 1,85% 880309102 Bond 20.08.2021 20.08.2027
NO0013060715 EVINY02 PRO Eviny AS 23/28 5,13% 880309102 Bond 03.11.2023 03.11.2028
NO0013004572 EVINY01 PRO ESG Eviny AS 23/28 FRN 880309102 Bond 30.08.2023 30.08.2028
NO0013062273 EVINY03 PRO Eviny AS 23/31 5,08% 880309102 Bond 07.11.2023 07.11.2031
NO0013314658 EVINY06 PRO Eviny AS 24/27 FRN 880309102 Bond 16.08.2024 16.11.2027
NO0013311902 EVINY05 PRO Eviny AS 24/29 FRN 880309102 Bond 14.08.2024 14.11.2029
NO0013323485 EVINY07 PRO Eviny AS 24/31 FRN 880309102 Bond 27.08.2024 27.08.2031
NO0013257477 EVINY04 PRO Eviny AS 24/34 4,47% 880309102 Bond 14.06.2024 14.06.2034
NO0013387894 Eviny AS 4,68% CERT 038 121224 880309102 CD 04.11.2024 12.12.2024
NO0013172924 Eviny AS FRN CERT 364 280225 880309102 CD 01.03.2024 28.02.2025
NO0013311936 Eviny AS FRN CERT 365 120825 880309102 CD 12.08.2024 12.08.2025
NO0013247718 Eviny AS FRN CERT 365 280525 880309102 CD 28.05.2024 28.05.2025
NO0010875057 Evje og Hornnes Spb 20/25 FRN 937894171 Bond 12.02.2020 12.02.2025
NO0011203515 Evje og Hornnes Spb 22/25 FRN 937894171 Bond 14.01.2022 14.08.2025
NO0012945338 Evje og Hornnes Spb 23/26 FRN 937894171 Bond 21.06.2023 22.06.2026
NO0012820036 Evje og Hornnes Spb 23/28 FRN 937894171 Bond 23.01.2023 04.02.2028
NO0012820044 Evje og Hornnes Spb 23/33 FRN STEP C SUB 937894171 Tier 2 23.01.2023 04.05.2033
NO0013255505 Evje og Hornnes Spb 24/27 FRN 937894171 Bond 07.06.2024 07.06.2027
NO0013185777 Evje og Hornnes Spb 24/29 FRN 937894171 Bond 21.03.2024 05.03.2029
NO0013382184 Evje og Hornnes Spb 24/29 FRN 937894171 Bond 24.10.2024 24.10.2029
NO0013264622 Evje og Hornnes Spb 24/PERP ADJ C HYBRID 937894171 Tier 1 20.06.2024 20.06.2099
NO0013247635 Excellence Logging Fi 24/29 11,50% USD C 11688050 Bond 06.06.2024 06.06.2029
XS2776886389 XS2776886389 Export Develop 4,35% NOK CERT 365 010325 200346327 CD 01.03.2024 01.03.2025
XS2725956408 XS2725956408 Export Develop 4,40% NOK CERT 366 291124 200346327 CD 29.11.2023 29.11.2024
NO0012475567 EXTRE01 Extenda Retail AB 22/27 FRN SEK FLOOR C 559167-1507 Bond 30.03.2022 30.03.2027
NO0010792450 Falkenborgvegen 28 AS 18/28 3,85% C 818127642 Bond 22.02.2018 22.02.2028
NO0010871346 FSB41 PRO Fana Spb 19/24 FRN 937896859 Bond 11.12.2019 11.12.2024
NO0010893860 FSB42 PRO Fana Spb 20/25 1,24% 937896859 Bond 18.09.2020 18.09.2025
NO0011100893 FSB43 PRO ESG Fana Spb 21/26 FRN 937896859 Bond 20.09.2021 20.08.2026
NO0011155855 FSB44 PRO Fana Spb 21/31 FRN STEP C SUB 937896859 Tier 2 24.11.2021 24.11.2031
NO0012759069 FSB45 PRO ESG Fana Spb 22/33 FRN C SUB 937896859 Tier 2 24.11.2022 24.02.2033
NO0012991258 FSB46 PRO Fana Spb 23/27 FRN 937896859 Bond 22.08.2023 22.10.2027
NO0012991266 FSB47 PRO Fana Spb 23/28 FRN 937896859 Bond 22.08.2023 22.08.2028
NO0013388488 FSB48 PRO ESG Fana Spb 24/29 4,584% 937896859 Bond 06.11.2024 06.11.2029
NO0010835937 FSBKR22 PRO Fana Spb Boligkredit AS 18/25 FRN C COVD 993567078 Bond 12.11.2018 18.06.2025
NO0010899164 FSBKR25 PRO Fana Spb Boligkredit AS 20/26 FRN C COVD 993567078 Bond 22.10.2020 22.07.2026
NO0012435736 FSBKR26 PRO Fana Spb Boligkredit AS 22/27 FRN C COVD 993567078 Bond 10.02.2022 10.05.2027
NO0012903451 FSBKR27 PRO Fana Spb Boligkredit AS 23/28 FRN C COVD 993567078 Bond 28.04.2023 28.08.2028
NO0013133843 FSBKR28 PRO Fana Spb Boligkredit AS 24/30 FRN C COVD 993567078 Bond 23.01.2024 23.01.2030
NO0013325472 FansBet Group AB 24/32 0,50% 559118-9088 Bond 30.08.2024 30.12.2032
NO0012472515 FARKO05 Farsund komm 22/25 FRN 964083266 Bond 16.03.2022 14.03.2025
NO0012517582 FARKO06 Farsund komm 22/25 FRN 964083266 Bond 04.05.2022 20.08.2025
NO0013019877 FARKO07 Farsund komm 23/28 4,89% 964083266 Bond 18.09.2023 18.09.2028
NO0013233775 FARKO08 Farsund komm 24/26 FRN 964083266 Bond 21.05.2024 21.05.2026
NO0013335596 FARKO09 Farsund komm 24/27 3,95% 964083266 Bond 16.09.2024 16.09.2027
NO0013361139 Farsund komm 4,62% CERT 365 081025 964083266 CD 08.10.2024 08.10.2025
NO0010986854 BALD 129 Fastighets AB Balder 21/28 2,86% 556525-6905 Bond 27.04.2021 27.04.2028
NO0010986862 BALD 130 Fastighets AB Balder 21/28 FRN 556525-6905 Bond 27.04.2021 27.04.2028
NO0012482209 BALD 134 Fastighets AB Balder 22/27 4,451% 556525-6905 Bond 30.03.2022 30.03.2027
NO0012482613 BALD 135 Fastighets AB Balder 22/27 FRN 556525-6905 Bond 30.03.2022 30.03.2027
NO0010915192 Fastighets AB Ter 20/24 3,00% SEK STEP C 556944-7096 Bond 30.12.2020 10.12.2024
NO0010706005 FKOV10 PRO Felleskjøpet Agri SA 14/26 5,18% 911608103 Bond 25.03.2014 25.03.2026
NO0010915374 FKOV14 PRO Felleskjøpet Agri SA 20/25 FRN 911608103 Bond 29.12.2020 29.12.2025
NO0012496761 FKOV16 PRO Felleskjøpet Agri SA 22/25 FRN 911608103 Bond 22.04.2022 22.04.2025
NO0011202194 FKOV15 PRO Felleskjøpet Agri SA 22/26 FRN 911608103 Bond 17.01.2022 17.01.2026
NO0012707563 FKOV17 PRO Felleskjøpet Agri SA 22/27 FRN 911608103 Bond 30.09.2022 30.09.2027
NO0013030106 FKOV21 PRO Felleskjøpet Agri SA 23/26 FRN 911608103 Bond 06.10.2023 06.10.2026
NO0012916222 FKOV19 PRO Felleskjøpet Agri SA 23/28 5,065% 911608103 Bond 12.05.2023 12.05.2028
NO0012916180 FKOV18 PRO Felleskjøpet Agri SA 23/28 FRN 911608103 Bond 12.05.2023 12.05.2028
NO0013030114 FKOV20 PRO Felleskjøpet Agri SA 23/28 FRN 911608103 Bond 06.10.2023 06.10.2028
NO0013198382 FKOV23 PRO Felleskjøpet Agri SA 24/29 FRN 911608103 Bond 11.04.2024 11.04.2029
NO0013198390 FKOV22 PRO Felleskjøpet Agri SA 24/31 FRN 911608103 Bond 11.04.2024 11.04.2031
NO0010789282 FERDE11 PRO Ferde AS 17/27 2,73% 918012745 Bond 21.03.2017 22.03.2027
NO0010867633 FERDE13 PRO ESG Ferde AS 19/25 FRN 918012745 Bond 13.11.2019 13.05.2025
NO0010849326 FERDE03 PRO Ferde AS 19/26 2,36% 918012745 Bond 08.04.2019 08.04.2026
NO0010875271 FERDE21 PRO Ferde AS 20/27 FRN 918012745 Bond 24.02.2020 24.02.2027
NO0011012478 FERDE23 PRO Ferde AS 21/26 1,65% 918012745 Bond 01.06.2021 01.06.2026
NO0011095465 FERDE36 PRO Ferde AS 21/26 FRN 918012745 Bond 10.09.2021 10.09.2026
NO0012751439 FERDE28 PRO ESG Ferde AS 22/25 FRN 918012745 Bond 14.11.2022 14.11.2025
NO0011202186 FERDE38 PRO Ferde AS 22/27 FRN 918012745 Bond 12.01.2022 12.01.2027
NO0012423534 FERDE24 PRO ESG Ferde AS 22/27 FRN 918012745 Bond 26.01.2022 26.01.2027
NO0012751447 FERDE27 PRO ESG Ferde AS 22/29 4,34% 918012745 Bond 14.11.2022 14.11.2029
NO0012495268 FERDE25 PRO Ferde AS 22/29 FRN 918012745 Bond 08.04.2022 09.04.2029
NO0012581083 FERDE26 PRO Ferde AS 22/32 3,69% 918012745 Bond 13.07.2022 13.07.2032
NO0012775479 FERDE29 PRO Ferde AS 22/42 3,71% 918012745 Bond 08.12.2022 08.12.2042
NO0012805789 FERDE30 PRO Ferde AS 23/26 FRN 918012745 Bond 12.01.2023 12.01.2026
NO0012813122 FERDE31 PRO ESG Ferde AS 23/28 FRN 918012745 Bond 18.01.2023 18.01.2028
NO0012992215 FERDE32 PRO Ferde AS 23/28 FRN 918012745 Bond 24.08.2023 24.08.2028
NO0013176586 FERDE35 PRO Ferde AS 24/27 FRN 918012745 Bond 06.03.2024 05.03.2027
NO0013119271 FERDE33 PRO Ferde AS 24/29 FRN 918012745 Bond 12.01.2024 12.01.2029
NO0013119289 FERDE34 PRO Ferde AS 24/31 4,13% 918012745 Bond 26.01.2024 24.01.2031
NO0013175976 FERDE37 PRO Ferde AS 24/32 FRN 918012745 Bond 15.03.2024 15.03.2032
NO0013355917 Ferde AS 4,699% CERT 091 271224 918012745 CD 27.09.2024 27.12.2024
NO0013320721 Ferde AS 4,73% CERT 094 251124 918012745 CD 23.08.2024 25.11.2024
NO0013363200 Ferde AS 4,749% CERT 092 080125 918012745 CD 08.10.2024 08.01.2025
NO0013324764 Ferde AS 4,825% CERT 092 291124 918012745 CD 29.08.2024 29.11.2024
NO0013401398 Ferde AS 4,85% CERT 094 100225 918012745 CD 08.11.2024 10.02.2025
NO0013319293 Ferde AS 4,88% CERT 092 211124 918012745 CD 21.08.2024 21.11.2024
NO0013406512 Ferde AS 4,92% CERT 045 020125 918012745 CD 18.11.2024 02.01.2025
NO0013384065 Ferde AS 4,97% CERT 094 270125 918012745 CD 25.10.2024 27.01.2025
NO0013324137 Ferde AS FRN CERT 364 050925 918012745 CD 06.09.2024 05.09.2025
NO0013334821 Ferde AS FRN CERT 364 120925 918012745 CD 13.09.2024 12.09.2025
NO0013350520 Ferde AS FRN CERT 364 190925 918012745 CD 20.09.2024 19.09.2025
NO0013219477 FERT02 Fertiberia Corpora 24/28 FRN EUR FLOOR C B88432810 Bond 08.05.2024 08.05.2028
NO0011204356 FBGR02 Fibo Group AS 22/25 FRN C 914925460 Bond 28.01.2022 28.01.2025
NO0010790157 Filago AS 17/19 12,00% 998415780 Bond 21.04.2017 21.07.2019
NO0010859945 Filago AS NO0010790157 IN 210719 998415780 Claim, Interest 22.07.2019 21.07.2099
XS0969858942 XS0969858942 Fingrid Oyj 13/25 4,31% NOK 1072894-3 Bond 16.09.2013 16.09.2025
XS2152797663 XS2152797663 Fingrid Oyj 20/30 2,72% NOK 1072894-3 Bond 08.04.2020 08.04.2030
NO0013264556 First Mover Group AS 24/27 FRN FLOOR C 919649070 Bond 05.07.2024 20.10.2027
NO0013070987 FJAKO01 Fjaler komm 23/25 FRN 864968422 Bond 15.11.2023 14.11.2025
NO0013340893 Fjaler komm 4,829% CERT 181 200325 864968422 CD 20.09.2024 20.03.2025
NO0013411074 Fjaler komm 4,932% CERT 179 230525 864968422 CD 25.11.2024 23.05.2025
NO0013166470 Fjaler komm 5,015% CERT 366 210225 864968422 CD 21.02.2024 21.02.2025
NO0010630775 FJELL03 PRO Fjellinjen AS 11/24 4,70% 941856543 Bond 15.12.2011 16.12.2024
NO0010893654 FJELL39 PRO Fjellinjen AS 20/25 FRN 941856543 Bond 15.09.2020 15.09.2025
NO0010911019 FJELL42 PRO Fjellinjen AS 20/25 FRN 941856543 Bond 03.12.2020 03.12.2025
NO0012490095 FJELL53 PRO ESG Fjellinjen AS 22/27 FRN 941856543 Bond 06.04.2022 06.04.2027
NO0013335497 FJELL62 PRO ESG Fjellinjen AS 24/29 FRN 941856543 Bond 17.09.2024 17.09.2029
NO0013024083 FFSB16 PRO Flekkefjor Spb 23/PERP FRN STEP C HYBRID 937894627 Tier 1 27.09.2023 27.09.2099
NO0011091316 FFSB12 PRO Flekkefjord Spb 21/25 FRN 937894627 Bond 08.09.2021 08.09.2025
NO0012612235 FFSB13 PRO Flekkefjord Spb 22/26 FRN 937894627 Bond 05.08.2022 05.08.2026
NO0013019042 FFSB15 PRO ESG Flekkefjord Spb 23/28 FRN 937894627 Bond 18.09.2023 18.09.2028
NO0012917592 FFSB14 PRO Flekkefjord Spb 23/33 FRN C SUB 937894627 Tier 2 16.05.2023 16.05.2033
NO0013119263 FFSB17 PRO Flekkefjord Spb 24/27 FRN 937894627 Bond 09.01.2024 09.04.2027
NO0013311977 FFSB18 PRO ESG Flekkefjord Spb 24/27 FRN 937894627 Bond 13.08.2024 13.08.2027
NO0010819790 Flesland Kontorinvest AS 18/25 5,05% C 918321268 Bond 20.03.2018 20.03.2025
NO0013188102 Floatel Internatio Ltd 24/29 9,75% USD C 38902 Bond 10.04.2024 10.04.2029
NO0013137802 Forbes Resources Braz 24/28 16,00% USD C NIRE: 31300148262 Bond 26.04.2024 26.04.2028
NO0010808025 Forskningsveien II AS 17/26 3,70% 918047522 Bond 13.10.2017 13.10.2026
NO0012547274 FORJVAIH27 Fortaco Group Hold 22/27 FRN EUR FLOOR C 3281147-3 Bond 22.07.2022 22.07.2027
NO0013339036 Forum Energy Technolo 24/29 10,50% USD C 3966995 Bond 07.11.2024 07.11.2029
NO0013339044 Forum Energy Technolo 24/29 10,50% USD C 3966995 Bond 07.11.2024 07.11.2029
NO0010659907 Fram Arken AS 12/27 5,50% 964722307 Bond 01.10.2012 01.10.2027
NO0010659915 Fram Arken AS 12/27 LNK 964722307 Linked Notes 01.10.2012 01.10.2027
NO0010662042 Fram Explorati AS 12/19 13,00% STEP CONV 892168962 Convertible 24.10.2012 31.12.2019
NO0010872567 Fram Explorati AS NO0010662042 IN 311219 892168962 Claim, Interest 31.12.2019 31.12.2099
NO0010872542 Fram Explorati AS NO0010662042 RD 311219 892168962 Claim, Redemption 31.12.2019 31.12.2099
NO0010754799 Fredrikstad En AS 15/14 7,00% STEP C SUB 971644494 Bond 29.12.2015 29.12.2114
NO0010886658 FEAS12 PRO Fredrikstad Energi AS 20/25 FRN 971644494 Bond 02.07.2020 02.07.2025
NO0010905078 FEAS13 PRO Fredrikstad Energi AS 20/27 1,92% 971644494 Bond 11.11.2020 11.11.2027
NO0010859754 FRKO07 Fredrikstad komm 19/29 2,369% 940039541 Bond 22.07.2019 23.07.2029
NO0011088684 FRKO11 Fredrikstad komm 21/25 1,518% 940039541 Bond 03.09.2021 03.09.2025
NO0010945835 FRKO09 Fredrikstad komm 21/26 1,515% 940039541 Bond 04.03.2021 04.03.2026
NO0012738634 FRKO14 Fredrikstad komm 22/26 4,54% 940039541 Bond 31.10.2022 30.04.2026
NO0013036822 FRKO15 Fredrikstad komm 23/25 FRN 940039541 Bond 11.10.2023 10.10.2025
NO0013364406 FRKO17 Fredrikstad komm 24/26 FRN 940039541 Bond 11.10.2024 12.10.2026
NO0013233874 FRKO16 Fredrikstad komm 24/27 FRN 940039541 Bond 21.05.2024 21.05.2027
NO0013334144 Fredrikstad komm 4,774% CERT 181 130325 940039541 CD 13.09.2024 13.03.2025
NO0013168062 Fredrikstad komm 5,007% CERT 364 210225 940039541 CD 23.02.2024 21.02.2025
NO0010833817 Fredrikstad Kontorbygg AS 18/26 4,50% C 919726520 Bond 09.10.2018 09.10.2026
NO0010753346 FTFOR01 PRO Fremtind Forsikr AS 15/45 FRN STEP C SUB 915651232 Tier 2 11.12.2015 11.12.2045
NO0011094732 Fremtind Forsikr AS 21/51 FRN STEP C SUB 915651232 Tier 2 08.09.2021 08.09.2051
NO0010870975 Fremtind Livsfor AS 19/49 FRN STEP C SUB 922246181 Tier 2 12.12.2019 13.12.2049
NO0010907793 Fremtind Livsfor AS 20/50 FRN STEP C SUB 922246181 Tier 2 10.12.2020 10.12.2050
NO0013036848 FRSK01 PRO Frende Skadefors AS 23/54 FRN STEP C SUB 991436960 Tier 2 17.10.2023 17.01.2054
NO0011101578 FROGKO04 Frogn komm 21/25 FRN 963999089 Bond 20.09.2021 20.03.2025
NO0012991332 FROGKO05 Frogn komm 23/26 FRN 963999089 Bond 21.08.2023 21.08.2026
NO0013061325 FROGKO06 Frogn komm 23/27 FRN 963999089 Bond 03.11.2023 03.05.2027
NO0013260968 FROGKO07 Frogn komm 24/26 FRN 963999089 Bond 19.06.2024 19.06.2026
NO0010741317 Frysjaveien 31 Holding AS 15/26 4,10% C 914508584 Bond 02.07.2015 30.11.2026
NO0010308224 FS FINANS III A/S 06/11 FRN 32321577 Bond 29.03.2006 29.03.2011
NO0010839152 FS FINANS III A/S NO0010308224 IN 290311 32321577 Claim, Interest 29.03.2011 29.03.2099
NO0010839194 FS FINANS III A/S NO0010308224 RD 290311 32321577 Claim, Redemption 29.03.2011 29.03.2099
NO0013335653 FRKOM01 Færder komm 24/26 FRN 817263992 Bond 16.09.2024 16.03.2026
NO0013334904 Færder komm 4,749% CERT 091 131224 817263992 CD 13.09.2024 13.12.2024
NO0013324889 Færder komm 4,758% CERT 091 291124 817263992 CD 30.08.2024 29.11.2024
NO0013354688 Færder komm 4,794% CERT 102 100125 817263992 CD 30.09.2024 10.01.2025
NO0013383463 Færder komm 4,89% CERT 095 310125 817263992 CD 28.10.2024 31.01.2025
NO0010791296 Føroya Landsstýri (Landsbank 17/32 2,70% 382809 Bond 03.05.2017 03.05.2032
NO0010838600 G3 Exploration Li NO0010724370 IN 200518 MC-165014 Claim, Interest 22.05.2018 20.05.2099
NO0010838568 G3 Exploration Li NO0010724370 IN 201117 MC-165014 Claim, Interest 20.11.2017 20.11.2099
NO0010838840 G3 Exploration Li NO0010724370 IN 201118 MC-165014 Claim, Interest 20.11.2018 20.11.2099
NO0010838857 GDG01 PRO G3 Exploration Li NO0010724370 RD 201118 MC-165014 Claim, Redemption 20.11.2018 20.11.2099
NO0010724370 GDG01 PRO G3 Exploration Limited 14/17 10,00% USD MC-165014 Bond 20.11.2014 20.11.2017
NO0010728827 Gardermoen Logisti AS 15/27 3,70% STEP C 912977552 Bond 17.02.2015 17.02.2027
NO0012567231 GC Helsehus AS 22/27 5,95% 916345720 Bond 29.06.2022 29.06.2027
NO0010877467 Gemma Properties Ho AB 20/23 6,00% SEK C 559010-3155 Bond 19.03.2020 19.03.2023
NO0010877426 Gemma Properties Holdin AB 20/23 6,00% C 559010-3155 Bond 19.03.2020 19.03.2023
NO0010877434 Gemma Properties Holdin AB 20/23 6,00% C 559010-3155 Bond 19.03.2020 19.03.2023
NO0010877442 Gemma Properties Holdin AB 20/23 6,00% C 559010-3155 Bond 19.03.2020 19.03.2023
NO0010877459 Gemma Properties Holdin AB 20/23 6,00% C 559010-3155 Bond 19.03.2020 19.03.2023
NO0010799232 Gemma Utveckling 2017 AB 17/19 12,00% C 559113-7806 Bond 01.09.2017 30.11.2019
NO0010894330 GENEF01 PRO Genel Energy Finan Plc 20/25 9,25% USD C 11867181 Bond 14.10.2020 14.10.2025
NO0013024018 Gentoo Media Plc 23/26 FRN EUR FLOOR C C44319 Bond 18.12.2023 18.12.2026
NO0013095687 Gentoo Media Plc 23/26 FRN SEK FLOOR C C44319 Bond 18.12.2023 18.12.2026
NO0012844002 GISKO05 Giske komm 23/25 FRN 964980721 Bond 17.02.2023 19.05.2025
NO0013182097 GISKO06 Giske komm 24/26 FRN 964980721 Bond 18.03.2024 18.06.2026
NO0013378851 GISKO07 Giske komm 24/27 FRN 964980721 Bond 18.10.2024 16.04.2027
NO0013234484 Giske komm 4,925% CERT 276 210225 964980721 CD 21.05.2024 21.02.2025
NO0010965437 GJF03 Gjensidige Fors ASA 21/51 FRN STEP C SUB 995568217 Tier 2 07.04.2021 07.04.2051
NO0010965429 GJF04 Gjensidige Fors ASA 21/PERP FRN C HYBRID 995568217 Tier 1 07.04.2021 07.04.2099
NO0013177220 GJF06 Gjensidige Fors ASA 24/PERP FRN C HYBRID 995568217 Tier 1 12.03.2024 12.03.2099
NO0013024000 GJF05 Gjensidige Forsikrin ASA 23/53 FRN C SUB 995568217 Tier 2 26.09.2023 29.12.2053
NO0013167189 GJF07 Gjensidige Forsikrin ASA 24/54 ADJ C SUB 995568217 Tier 2 28.02.2024 28.08.2054
NO0013387308 Gjensidige Forsikrin ASA 24/54 ADJ C SUB 995568217 Tier 2 05.11.2024 05.11.2054
NO0011096497 GDKO02 Gjerdrum komm 21/26 FRN 864949762 Bond 15.09.2021 16.09.2026
NO0012863853 GDKO03 Gjerdrum komm 23/28 4,047% 864949762 Bond 15.03.2023 15.03.2028
NO0013183004 GDKO04 Gjerdrum komm 24/29 FRN 864949762 Bond 20.03.2024 21.03.2029
NO0013330605 Gjesdal komm 4,845% CERT 181 060325 964978573 CD 06.09.2024 06.03.2025
NO0013392357 Gjesdal komm 4,88% CERT 092 060225 964978573 CD 06.11.2024 06.02.2025
NO0013405837 Gjesdal komm 4,962% CERT 091 130225 964978573 CD 14.11.2024 13.02.2025
NO0010874100 GJOKO03 Gjøvik komm 20/30 2,28% 940155223 Bond 29.01.2020 29.01.2030
NO0010947922 GJOKO04 Gjøvik komm 21/26 FRN 940155223 Bond 05.03.2021 05.03.2026
NO0012422874 GJOKO05 Gjøvik komm 22/29 FRN 940155223 Bond 24.01.2022 24.01.2029
NO0012994328 GJOKO06 Gjøvik komm 23/33 4,707% 940155223 Bond 22.08.2023 22.08.2033
NO0013256784 GJOKO07 Gjøvik komm 24/27 FRN 940155223 Bond 07.06.2024 07.06.2027
NO0013350496 Gjøvik komm 4,745% CERT 091 201224 940155223 CD 20.09.2024 20.12.2024
NO0013335539 Gjøvik komm 4,767% CERT 122 130125 940155223 CD 13.09.2024 13.01.2025
NO0013320028 Gjøvik komm 4,795% CERT 092 221124 940155223 CD 22.08.2024 22.11.2024
NO0013262444 Gjøvik komm 4,845% CERT 183 171224 940155223 CD 17.06.2024 17.12.2024
NO0013235085 Gjøvik komm 4,894% CERT 275 210225 940155223 CD 22.05.2024 21.02.2025
NO0013411066 Gjøvik komm 4,96% CERT 091 210225 940155223 CD 22.11.2024 21.02.2025
NO0012838970 GLX02 ESG GLX Holding AS 23/27 FRN FLOOR C 919505281 Bond 23.02.2023 23.02.2027
NO0012829847 GONOR01 Go North Group AB 23/27 FRN SEK STEP C 559252-2188 Bond 09.02.2023 09.02.2027
NO0012829854 Go North Group AB 23/27 FRN USD STEP C 559252-2188 Bond 09.02.2023 09.02.2027
NO0013165852 A3LVV9 Go North Group AB 24/26 FRN USD 559252-2188 Bond 05.03.2024 09.02.2026
NO0013165845 A3LVV8 Go North Group AB 24/26 FRN USD C 559252-2188 Bond 04.03.2024 09.02.2026
NO0013148411 Go North Group AB 24/28 15,00% SEK 559252-2188 Bond 04.03.2024 09.02.2028
NO0013152330 Go North Group AB NO0012829847 IN 090224 559252-2188 Claim, Interest 09.02.2024 09.02.2099
NO0013152348 Go North Group AB NO0012829854 IN 090224 559252-2188 Claim, Interest 09.02.2024 09.02.2099
NO0013185835 A3LW0K GoCollective A/S 24/27 FRN EUR FLOOR C 18429101 Bond 12.04.2024 12.04.2027
NO0011123432 GLNG01 Golar LNG Limited 21/25 7,00% USD C 30506 Bond 20.10.2021 20.10.2025
NO0013331223 Golar LNG Limited 24/29 7,75% USD C 30506 Bond 19.09.2024 19.09.2029
NO0011159543 Golden Energy Offshore S ASA 21/26 ADJ C 913011384 Bond 13.12.2021 13.06.2026
NO0010859283 Golf Hotel Læ A/S NO0010798002 IN 280619 15911999 Claim, Interest 28.06.2019 28.06.2099
NO0010859291 Golf Hotel Læ A/S NO0010798002 RD 280619 15911999 Claim, Redemption 28.06.2019 28.06.2099
NO0010798002 Golf Hotel Læsø A/S 17/19 12,00% C 15911999 Bond 30.06.2017 30.06.2019
NO0010740467 Goliath Offshore Hold 15/34 15,00% USD C 201510452D Bond 11.06.2015 31.01.2034
NO0012805755 Goliath Offshore Hold 22/33 20,00% USD C 201510452D Bond 15.11.2022 30.12.2033
NO0010740459 Goliath Offshore Holdin 15/34 12,00% USD 201510452D Bond 11.06.2015 28.02.2034
NO0013289397 Gondola MidCo AS 24/29 FRN FLOOR C 933338444 Bond 16.07.2024 31.03.2029
NO0011041501 Grade Midc AS 21/26 FRN EUR FLOOR STEP C 926876562 Bond 06.07.2021 01.02.2026
NO0011041485 Grade Midc AS 21/26 FRN SEK FLOOR STEP C 926876562 Bond 06.07.2021 01.02.2026
NO0011041493 Grade Midc AS 21/26 FRN SEK FLOOR STEP C 926876562 Bond 06.07.2021 01.02.2026
NO0013330597 Gran komm 4,90% CERT 091 061224 961381541 CD 06.09.2024 06.12.2024
NO0012526187 Greenbit Energ AS 22/25 FRN FLOOR STEP C 922735778 Bond 27.05.2022 27.05.2025
NO0010914963 Grenseveien Undervisnin AS 21/26 2,90% C 925031445 Bond 11.03.2021 11.03.2026
NO0010885007 GSF01 ESG Grieg Seafood ASA 20/25 FRN FLOOR 946598038 Bond 25.06.2020 25.06.2025
NO0012991423 GRIKO02 Grimstad komm 23/25 FRN 864964702 Bond 21.08.2023 21.08.2025
NO0013183632 GRIKO03 Grimstad komm 24/31 4,21% 864964702 Bond 19.03.2024 19.03.2031
NO0013354639 Grimstad komm 4,584% CERT 364 260925 864964702 CD 27.09.2024 26.09.2025
NO0013182139 Grimstad komm 4,864% CERT 364 140325 864964702 CD 15.03.2024 14.03.2025
NO0010869571 GRONG22 PRO Grong Spb 19/24 FRN 937903146 Bond 26.11.2019 26.11.2024
NO0010873961 GRONG23 PRO Grong Spb 20/25 FRN 937903146 Bond 23.01.2020 23.04.2025
NO0010892763 GRONG24 PRO Grong Spb 20/25 FRN 937903146 Bond 03.09.2020 03.09.2025
NO0011079238 GRONG25 PRO Grong Spb 21/26 FRN 937903146 Bond 20.08.2021 20.08.2026
NO0011093742 GRONG27 PRO Grong Spb 21/26 FRN 937903146 Bond 10.09.2021 10.03.2026
NO0011097222 GRONG29 PRO Grong Spb 21/31 FRN STEP C SUB 937903146 Tier 2 15.09.2021 15.10.2031
NO0011096547 GRONG28 PRO Grong Spb 21/PERP FRN C HYBRID 937903146 Tier 1 15.09.2021 15.09.2099
NO0012838210 GRONG30 PRO Grong Spb 23/28 FRN 937903146 Bond 09.02.2023 09.02.2028
NO0013102434 GRONG31 PRO Grong Spb 23/34 FRN STEP C SUB 937903146 Tier 2 21.12.2023 21.03.2034
NO0013257543 GRONG34 PRO Grong Spb 24/27 FRN 937903146 Bond 14.06.2024 14.09.2027
NO0013339796 GRONG36 PRO Grong Spb 24/28 FRN 937903146 Bond 20.09.2024 20.09.2028
NO0013172122 GRONG33 PRO Grong Spb 24/29 FRN 937903146 Bond 01.03.2024 01.03.2029
NO0013339812 GRONG35 PRO Grong Spb 24/29 FRN 937903146 Bond 20.09.2024 20.09.2029
NO0013168864 GRONG32 PRO Grong Spb 24/PERP FRN C HYBRID 937903146 Tier 1 28.02.2024 28.02.2099
NO0012507922 GRSB12 PRO Grue Spb 22/25 FRN 937886705 Bond 25.04.2022 25.04.2025
NO0013049445 GRSB14 PRO Grue Spb 23/25 FRN 937886705 Bond 20.10.2023 20.10.2025
NO0013049452 GRSB15 PRO Grue Spb 23/26 FRN 937886705 Bond 20.10.2023 20.10.2026
NO0012949009 GRSB13 PRO Grue Spb 23/PERP FRN STEP C HYBRID 937886705 Tier 1 27.06.2023 27.06.2099
NO0013246983 GRSB17 PRO Grue Spb 24/27 FRN 937886705 Bond 28.05.2024 28.05.2027
NO0013320002 GRSB18 PRO Grue Spb 24/27 FRN 937886705 Bond 26.08.2024 26.11.2027
NO0013225771 GRSB16 PRO Grue Spb 24/34 ADJ C SUB 937886705 Tier 2 13.05.2024 13.11.2034
NO0013107474 GRONT02 Grøntvedt AS 24/27 FRN FLOOR C 927033836 Bond 11.01.2024 11.01.2027
XS2127144454 XS2127144454 Göteborgs Stad 20/25 FRN NOK 212000-1355 Bond 03.03.2020 03.03.2025
XS2127145261 XS2127145261 Göteborgs Stad 20/26 FRN NOK 212000-1355 Bond 03.03.2020 03.03.2026
XS2265980578 XS2265980578 Göteborgs Stad 20/26 FRN NOK 212000-1355 Bond 03.12.2020 02.02.2026
NO0010702947 HAF22 PRO Hafslund AS 14/29 4,40% 920596509 Bond 31.01.2014 31.01.2029
NO0010734775 HAF24 PRO Hafslund AS 15/30 2,80% 920596509 Bond 23.04.2015 23.04.2030
NO0010762909 HAF27 PRO Hafslund AS 16/31 3,05% 920596509 Bond 18.04.2016 18.04.2031
NO0010876352 HAF02 Hafslund AS 20/25 FRN 920596509 Bond 10.03.2020 10.03.2025
NO0010960370 HAF04 ESG Hafslund AS 21/26 FRN 920596509 Bond 30.03.2021 30.03.2026
NO0013035220 HAF09 ESG Hafslund AS 23/28 FRN 920596509 Bond 17.10.2023 17.10.2028
NO0013035238 HAF10 ESG Hafslund AS 23/29 5,26% 920596509 Bond 17.10.2023 17.10.2029
NO0013325514 HAF28 ESG Hafslund AS 24/27 FRN 920596509 Bond 05.09.2024 06.09.2027
NO0013325522 HAF29 ESG Hafslund AS 24/30 FRN 920596509 Bond 05.09.2024 05.03.2030
NO0013325530 HAF30 ESG Hafslund AS 24/31 FRN 920596509 Bond 05.09.2024 05.09.2031
NO0013325548 HAF31 ESG Hafslund AS 24/34 4,35% 920596509 Bond 05.09.2024 05.09.2034
NO0010876949 HAKO02 Halden komm 20/25 1,85% 959159092 Bond 12.03.2020 12.03.2025
NO0013371153 Halden komm 4,789% CERT 178 140425 959159092 CD 18.10.2024 14.04.2025
NO0013389445 Halden komm 4,797% CERT 182 050525 959159092 CD 04.11.2024 05.05.2025
NO0013329300 Halden komm 4,805% CERT 181 050325 959159092 CD 05.09.2024 05.03.2025
NO0013316034 Halden komm 4,86% CERT 184 190225 959159092 CD 19.08.2024 19.02.2025
NO0010895469 Halden Vgs Eiendomsselska AS 20/32 3,75% 922796416 Bond 28.10.2020 28.10.2032
NO0010875123 HDSB10 PRO Haltdalen Spb 20/25 FRN 837902622 Bond 13.02.2020 13.02.2025
NO0011155962 HDSB14 PRO Haltdalen Spb 21/31 FRN STEP C SUB 837902622 Tier 2 01.12.2021 01.12.2031
NO0010918873 Haltdalen Spb 21/PERP FRN STEP C HYBRID 837902622 Tier 1 21.01.2021 21.01.2099
NO0012451261 HDSB15 PRO Haltdalen Spb 22/25 FRN 837902622 Bond 25.02.2022 25.09.2025
NO0012655630 HDSB17 PRO Haltdalen Spb 22/26 FRN 837902622 Bond 01.09.2022 01.09.2026
NO0012838327 HDSB18 PRO Haltdalen Spb 23/26 FRN 837902622 Bond 10.02.2023 10.02.2026
NO0012948118 HDSB19 PRO Haltdalen Spb 23/27 FRN 837902622 Bond 21.06.2023 02.02.2027
NO0013054148 HDSB20 PRO Haltdalen Spb 23/27 FRN 837902622 Bond 24.10.2023 03.09.2027
NO0013256198 HDSB21 PRO Haltdalen Spb 24/28 FRN 837902622 Bond 11.06.2024 03.03.2028
NO0013329946 HDSB22 PRO Haltdalen Spb 24/28 FRN 837902622 Bond 11.09.2024 11.09.2028
NO0013382176 Hamar komm 4,779% CERT 182 220425 970540008 CD 22.10.2024 22.04.2025
NO0013319368 Hamar komm 4,794% CERT 092 221124 970540008 CD 22.08.2024 22.11.2024
NO0013384016 Hamar komm 4,894% CERT 092 280125 970540008 CD 28.10.2024 28.01.2025
NO0013328617 Hammerfest komm 4,92% CERT 091 031224 921770669 CD 03.09.2024 03.12.2024
NO0013331215 Hammerfest komm 4,92% CERT 091 091224 921770669 CD 09.09.2024 09.12.2024
NO0013353276 Hammerfest komm 4,95% CERT 087 201224 921770669 CD 24.09.2024 20.12.2024
NO0013319301 Hammerfest komm 4,97% CERT 092 211124 921770669 CD 21.08.2024 21.11.2024
NO0013386706 Hammerfest komm 5,06% CERT 092 290125 921770669 CD 29.10.2024 29.01.2025
NO0013384628 Hammerfest komm 5,07% CERT 092 280125 921770669 CD 28.10.2024 28.01.2025
NO0013410431 Hammerfest komm 5,11% CERT 092 210225 921770669 CD 21.11.2024 21.02.2025
NO0010769284 HANC 03 Hancap AB 16/23 10,00% C 556789-7144 Bond 11.10.2016 28.05.2023
NO0010769276 HANC 02 Hancap AB 16/23 10,00% SEK C 556789-7144 Bond 11.10.2016 28.05.2023
NO0010769292 HANC 04 Hancap AB 16/23 10,00% USD C 556789-7144 Bond 11.10.2016 28.05.2023
NO0010945777 Hancap AB NO0010769276 IN 280221 556789-7144 Claim, Interest 01.03.2021 28.02.2099
NO0012459272 Hancap AB NO0010769276 IN 280222 556789-7144 Claim, Interest 28.02.2022 28.02.2099
NO0012857178 Hancap AB NO0010769276 IN 280223 556789-7144 Claim, Interest 28.02.2023 28.02.2099
NO0010884570 Hancap AB NO0010769276 IN 280520 556789-7144 Claim, Interest 28.05.2020 28.05.2099
NO0011015968 Hancap AB NO0010769276 IN 280521 556789-7144 Claim, Interest 28.05.2021 28.05.2099
NO0012539016 Hancap AB NO0010769276 IN 280523 556789-7144 Claim, Interest 28.05.2023 28.05.2099
NO0012932682 Hancap AB NO0010769276 IN 280523 556789-7144 Claim, Interest 28.05.2023 28.05.2099
NO0010892110 Hancap AB NO0010769276 IN 280820 556789-7144 Claim, Interest 28.08.2020 28.08.2099
NO0011087496 Hancap AB NO0010769276 IN 280821 556789-7144 Claim, Interest 30.08.2021 28.08.2099
NO0012692666 Hancap AB NO0010769276 IN 280822 556789-7144 Claim, Interest 29.08.2022 28.08.2099
NO0010910078 Hancap AB NO0010769276 IN 281120 556789-7144 Claim, Interest 30.11.2020 28.11.2099
NO0011165037 Hancap AB NO0010769276 IN 281121 556789-7144 Claim, Interest 29.11.2021 28.11.2099
NO0012772187 Hancap AB NO0010769276 IN 281122 556789-7144 Claim, Interest 28.11.2022 28.11.2099
NO0012932724 Hancap AB NO0010769276 RD 280523 556789-7144 Claim, Redemption 28.05.2023 28.05.2099
NO0010945793 Hancap AB NO0010769284 IN 280221 556789-7144 Claim, Interest 01.03.2021 28.02.2099
NO0012459280 Hancap AB NO0010769284 IN 280222 556789-7144 Claim, Interest 28.02.2022 28.02.2099
NO0012857186 Hancap AB NO0010769284 IN 280223 556789-7144 Claim, Interest 28.02.2023 28.02.2099
NO0010884554 Hancap AB NO0010769284 IN 280520 556789-7144 Claim, Interest 28.05.2020 28.05.2099
NO0011015976 Hancap AB NO0010769284 IN 280521 556789-7144 Claim, Interest 28.05.2021 28.05.2099
NO0010892292 Hancap AB NO0010769284 IN 280820 556789-7144 Claim, Interest 28.08.2020 28.08.2099
NO0011087504 Hancap AB NO0010769284 IN 280821 556789-7144 Claim, Interest 30.08.2021 28.08.2099
NO0010910052 Hancap AB NO0010769284 IN 281120 556789-7144 Claim, Interest 30.11.2020 28.11.2099
NO0011165003 Hancap AB NO0010769284 IN 281121 556789-7144 Claim, Interest 29.11.2021 28.11.2099
NO0012772195 Hancap AB NO0010769284 IN 281122 556789-7144 Claim, Interest 28.11.2022 28.11.2099
NO0010945785 Hancap AB NO0010769292 IN 280221 556789-7144 Claim, Interest 01.03.2021 28.02.2099
NO0012459264 Hancap AB NO0010769292 IN 280222 556789-7144 Claim, Interest 28.02.2022 28.02.2099
NO0012857160 Hancap AB NO0010769292 IN 280223 556789-7144 Claim, Interest 28.02.2023 28.02.2099
NO0010884562 Hancap AB NO0010769292 IN 280520 556789-7144 Claim, Interest 28.05.2020 28.05.2099
NO0011015984 Hancap AB NO0010769292 IN 280521 556789-7144 Claim, Interest 28.05.2021 28.05.2099
NO0010892128 Hancap AB NO0010769292 IN 280820 556789-7144 Claim, Interest 28.08.2020 28.08.2099
NO0011087512 Hancap AB NO0010769292 IN 280821 556789-7144 Claim, Interest 30.08.2021 28.08.2099
NO0010910045 Hancap AB NO0010769292 IN 281120 556789-7144 Claim, Interest 30.11.2020 28.11.2099
NO0011165029 Hancap AB NO0010769292 IN 281121 556789-7144 Claim, Interest 29.11.2021 28.11.2099
NO0012772153 Hancap AB NO0010769292 IN 281122 556789-7144 Claim, Interest 28.11.2022 28.11.2099
NO0012692658 Hancap AB NO0010769292 RD 280822 556789-7144 Claim, Redemption 29.08.2022 28.08.2099
NO0010876527 AAKO16 Haram komm 20/30 2,055% 829912252 Bond 06.03.2020 06.03.2030
NO0012992124 AAKO24 Haram komm 23/26 FRN 829912252 Bond 22.08.2023 23.02.2026
NO0013336297 Haram komm 4,629% CERT 273 170625 829912252 CD 17.09.2024 17.06.2025
NO0013311332 Haram komm 4,66% CERT 364 080825 829912252 CD 09.08.2024 08.08.2025
NO0013336305 Haram komm 4,769% CERT 091 171224 829912252 CD 17.09.2024 17.12.2024
NO0010859598 HARKO02 Hareid komm 19/26 2,14% 964979278 Bond 08.07.2019 08.07.2026
NO0013198416 HARKO03 Hareid komm 24/26 FRN 964979278 Bond 09.04.2024 16.04.2026
NO0013269548 HARKO04 Hareid komm 24/27 FRN 964979278 Bond 26.06.2024 24.03.2027
NO0013333443 Hareid komm 4,67% CERT 273 100625 964979278 CD 10.09.2024 10.06.2025
NO0013132142 Hareid komm 4,697% CERT 365 160125 964979278 CD 17.01.2024 16.01.2025
NO0013320762 Hareid komm 4,76% CERT 364 220825 964979278 CD 23.08.2024 22.08.2025
NO0013188656 Hareid komm 4,94% CERT 365 270325 964979278 CD 27.03.2024 27.03.2025
NO0013166512 Hareid komm 5,015% CERT 364 210225 964979278 CD 23.02.2024 21.02.2025
NO0010863970 HRSKO04 Harstad komm 19/26 1,994% 972417971 Bond 20.09.2019 21.09.2026
NO0011059933 HRSKO08 Harstad komm 21/25 FRN 972417971 Bond 28.07.2021 28.07.2025
NO0012495938 HRSKO11 Harstad komm 22/25 FRN 972417971 Bond 11.04.2022 11.04.2025
NO0011207268 HRSKO10 Harstad komm 22/27 2,174% 972417971 Bond 19.01.2022 19.01.2027
NO0012860875 HRSKO12 Harstad komm 23/25 FRN 972417971 Bond 08.03.2023 10.03.2025
NO0012885302 HRSKO13 Harstad komm 23/28 3,807% 972417971 Bond 05.04.2023 05.04.2028
NO0013152371 HRSKO14 Harstad komm 24/26 FRN 972417971 Bond 15.02.2024 16.02.2026
NO0013214866 HRSKO15 Harstad komm 24/27 FRN 972417971 Bond 22.04.2024 22.04.2027
NO0013336271 Harstad komm 4,49% CERT 365 170925 972417971 CD 17.09.2024 17.09.2025
NO0013325399 Harstad komm 4,57% CERT 364 290825 972417971 CD 30.08.2024 29.08.2025
NO0013233767 Harstad komm 4,914% CERT 365 160525 972417971 CD 16.05.2024 16.05.2025
NO0013198358 Harstad komm 4,932% CERT 308 100225 972417971 CD 08.04.2024 10.02.2025
NO0010958119 HAKR02 PRO ESG Haugaland Kraft AS 21/26 FRN 915636756 Bond 30.03.2021 30.03.2026
NO0011203549 HAKR03 PRO ESG Haugaland Kraft AS 22/27 2,475% 915636756 Bond 18.01.2022 18.01.2027
NO0011203507 HAKR04 PRO ESG Haugaland Kraft AS 22/27 FRN 915636756 Bond 18.01.2022 18.01.2027
NO0013172148 HAKR06 PRO ESG Haugaland Kraft AS 24/29 5,07% 915636756 Bond 05.03.2024 05.03.2029
NO0013172130 HAKR05 PRO ESG Haugaland Kraft AS 24/29 FRN 915636756 Bond 05.03.2024 05.03.2029
NO0010864028 HGSKO01 Haugesund komm 19/25 1,95% 944073787 Bond 16.09.2019 16.09.2025
NO0011087553 HGSKO03 Haugesund komm 21/25 FRN 944073787 Bond 03.09.2021 03.09.2025
NO0013360586 HGSKO07 Haugesund komm 24/26 FRN 944073787 Bond 08.10.2024 02.11.2026
NO0013225763 HGSKO05 Haugesund komm 24/27 FRN 944073787 Bond 08.05.2024 10.05.2027
NO0013323493 HGSKO06 Haugesund komm 24/29 3,98% 944073787 Bond 27.08.2024 27.08.2029
NO0013225755 HGSKO04 Haugesund komm 24/30 4,545% 944073787 Bond 08.05.2024 08.05.2030
NO0013335513 Haugesund komm 4,72% CERT 179 140325 944073787 CD 16.09.2024 14.03.2025
NO0013354035 Haugesund komm 4,72% CERT 227 120525 944073787 CD 27.09.2024 12.05.2025
NO0013257535 Haugesund komm 4,778% CERT 364 130625 944073787 CD 14.06.2024 13.06.2025
NO0013135343 Haugesund komm 4,778% CERT 365 210125 944073787 CD 22.01.2024 21.01.2025
NO0010871122 HGSB23 PRO Haugesund Spb 19/24 FRN 837895502 Bond 12.12.2019 12.12.2024
NO0010915218 HGSB25 PRO Haugesund Spb 20/26 FRN 837895502 Bond 18.12.2020 18.03.2026
NO0010961022 HGSB26 PRO Haugesund Spb 21/25 FRN 837895502 Bond 22.03.2021 22.09.2025
NO0011031361 HGSB27 PRO Haugesund Spb 21/25 FRN 837895502 Bond 23.06.2021 23.04.2025
NO0011204331 HGSB28 PRO Haugesund Spb 22/26 FRN 837895502 Bond 17.01.2022 17.08.2026
NO0012629379 HGSB30 PRO Haugesund Spb 22/27 FRN 837895502 Bond 19.08.2022 19.08.2027
NO0012784547 HGSB31 PRO ESG Haugesund Spb 22/28 FRN 837895502 Bond 14.12.2022 14.03.2028
NO0012509274 HGSB29 PRO Haugesund Spb 22/PERP FRN STEP C HYBRID 837895502 Tier 1 28.04.2022 28.04.2099
NO0012947540 HGSB32 PRO Haugesund Spb 23/27 FRN 837895502 Bond 20.06.2023 19.03.2027
NO0013012666 HGSB33 PRO Haugesund Spb 23/28 FRN 837895502 Bond 06.09.2023 06.09.2028
NO0013140137 HGSB35 PRO Haugesund Spb 24/29 FRN 837895502 Bond 26.01.2024 26.03.2029
NO0013249870 HGSB36 PRO Haugesund Spb 24/29 FRN 837895502 Bond 29.05.2024 29.08.2029
NO0013367664 HGSB38 PRO Haugesund Spb 24/30 FRN 837895502 Bond 17.10.2024 17.04.2030
NO0013121285 HGSB34 PRO Haugesund Spb 24/34 FRN C SUB 837895502 Tier 2 17.01.2024 17.04.2034
NO0013335430 HGSB37 PRO Haugesund Spb 24/PERP ADJ C HYBRID 837895502 Tier 1 16.09.2024 16.09.2099
NO0010795743 Haukås Eiendomsinvest AS 18/26 4,30% 918106561 Bond 31.01.2018 31.01.2026
NO0013222968 Havila Invest AS 24/27 7,85% C 987558474 Bond 30.04.2024 30.04.2027
NO0012969098 Havila Kystrute AS 23/26 FRN EUR FLOOR C 918458999 Bond 26.07.2023 26.07.2026
NO0010590441 HAVI04 Havila Shipping ASA 10/24 FRN STEP C 882811972 Bond 08.11.2010 31.12.2024
NO0010605033 HAVI07 Havila Shipping ASA 11/24 FRN STEP C 882811972 Bond 30.03.2011 31.12.2024
NO0013023226 HAINS01 Hawk Infinity Softw AS 23/28 FRN FLOOR C 922182795 Bond 03.10.2023 03.10.2028
NO0013358069 Hawk Infinity Softw AS 24/29 FRN FLOOR C 922182795 Bond 15.10.2024 15.10.2029
XS1202083819 XS1202083819 Heathrow Funding Limit 15/29 2,65% NOK C 99529 Bond 01.04.2015 01.10.2029
XS1448391968 XS1448391968 Heathrow Funding Limit 16/31 2,50% NOK C 99529 Bond 07.12.2016 07.12.2031
NO0010872823 HESB20 PRO Hegra Spb 20/25 FRN 937903235 Bond 15.01.2020 15.01.2025
NO0010876667 HESB21 PRO Hegra Spb 20/PERP FRN STEP C HYBRID 937903235 Tier 1 11.03.2020 11.03.2099
NO0010918105 HESB22 PRO Hegra Spb 21/26 FRN 937903235 Bond 21.01.2021 21.01.2026
NO0011079170 HESB25 PRO Hegra Spb 21/26 FRN 937903235 Bond 25.08.2021 25.08.2026
NO0011008955 HESB24 PRO Hegra Spb 21/31 FRN STEP C SUB 937903235 Tier 2 27.05.2021 27.05.2031
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NO0012495326 HESB28 PRO Hegra Spb 22/27 FRN 937903235 Bond 11.04.2022 12.04.2027
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NO0013316059 HESB33 PRO Hegra Spb 24/29 FRN 937903235 Bond 20.08.2024 20.08.2029
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NO0010906944 HEIMB03 Heimstaden Bostad AB 20/25 FRN C 556864-0873 Bond 25.11.2020 25.02.2025
NO0010976327 HEIMB06 Heimstaden Bostad AB 21/26 FRN 556864-0873 Bond 22.04.2021 22.04.2026
NO0010976335 HEIMB05 Heimstaden Bostad AB 21/28 FRN 556864-0873 Bond 22.04.2021 24.04.2028
NO0010859986 HEBK26 PRO Helgeland Bolig AS 19/25 FRN STEP C COVD 993359696 Bond 26.07.2019 14.03.2025
NO0010865652 HEBK27 PRO Helgeland Bolig AS 19/25 FRN STEP C COVD 993359696 Bond 09.10.2019 12.06.2025
NO0012852658 HEBK31 PRO Helgeland Bolig AS 23/28 FRN STEP C COVD 993359696 Bond 01.03.2023 25.04.2028
NO0013119875 HEBK32 PRO Helgeland Bolig AS 24/29 FRN STEP C COVD 993359696 Bond 12.01.2024 12.01.2029
NO0010867864 HEBK28 PRO Helgeland Boligkredi AS 19/29 ADJ C COVD 993359696 Bond 07.11.2019 07.11.2029
NO0011117186 HEBK30 PRO Helgeland Boligkredi AS 21/25 FRN C COVD 993359696 Bond 08.10.2021 08.12.2025
NO0013333435 HEBK34 PRO Helgeland Boligkredi AS 24/30 FRN C COVD 993359696 Bond 10.09.2024 18.09.2030
NO0013251181 HEBK33 PRO Helgeland Boligkredi AS 24/32 ADJ C COVD 993359696 Bond 04.06.2024 04.06.2032
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NO0010853518 HELK19 PRO Helgeland Kraft AS 19/26 2,75% 917206813 Bond 28.05.2019 28.05.2026
NO0010874738 HELK20 PRO Helgeland Kraft AS 20/25 FRN 917206813 Bond 07.02.2020 07.02.2025
NO0012484387 HELK22 PRO Helgeland Kraft AS 22/27 FRN 917206813 Bond 30.03.2022 30.03.2027
NO0012627118 HELK23 PRO ESG Helgeland Kraft AS 22/28 FRN 917206813 Bond 23.08.2022 23.08.2028
NO0013010348 HELK24 PRO ESG Helgeland Kraft AS 23/30 5,44% 917206813 Bond 06.09.2023 06.09.2030
NO0013329342 HELK25 PRO ESG Helgeland Kraft AS 24/34 4,65% 917206813 Bond 11.09.2024 11.09.2034
NO0012811217 Hellvik Utvikl AS NO0011049538 IN 070123 927364468 Claim, Interest 09.01.2023 09.01.2099
NO0012962283 Hellvik Utvikl AS NO0011049538 IN 070723 927364468 Claim, Interest 07.07.2023 07.07.2099
NO0012962291 Hellvik Utvikl AS NO0011049538 RD 070723 927364468 Claim, Redemption 07.07.2023 07.07.2099
NO0011049538 Hellvik Utvikling AS 21/23 10,00% C 927364468 Bond 07.07.2021 07.07.2023
NO0010780976 Helsehuset 1 AS 16/26 3,70% 914428459 Bond 22.12.2016 22.12.2026
NO0013104489 Helsfyr Kontor AS NO0010907603 IN 151223 921563140 Claim, Interest 15.12.2023 15.12.2099
NO0013275826 Helsfyr Kontorholding AS 24/29 6,376% C 921563078 Bond 01.10.2024 01.10.2029
NO0013099283 Helsfyr Kontorholding I AS 23/27 5,96% C 923641270 Bond 15.12.2023 15.12.2027
XS2260185652 XS2260185652 Hemsö Fastighets AB 20/30 1,90% NOK 556779-8169 Bond 19.11.2020 19.11.2030
XS2168565039 XS2168565039 Hemsö Fastighets AB 20/30 2,40% NOK 556779-8169 Bond 06.05.2020 06.05.2030
XS2417422883 XS2417422883 Hemsö Fastighets AB 21/29 2,661% NOK 556779-8169 Bond 17.12.2021 17.12.2029
XS2307872395 XS2307872395 Hemsö Fastighets AB 21/33 2,38% NOK 556779-8169 Bond 03.03.2021 03.03.2033
XS2908090967 XS2908090967 Hemsö Fastighets AB 24/31 FRN NOK 556779-8169 Bond 25.09.2024 25.09.2031
NO0012618380 HERKO06 Herøy komm 22/25 3,514% 964978840 Bond 15.08.2022 15.08.2025
NO0013387902 Herøy komm 4,72% CERT 365 051125 964978840 CD 05.11.2024 05.11.2025
NO0013186429 Herøy komm 4,87% CERT 365 210325 964978840 CD 21.03.2024 21.03.2025
NO0012851858 Hexagon Purus ASA 23/28 6,00% CONV 919317558 Convertible 27.03.2023 27.03.2028
NO0013106732 Hexagon Purus ASA 24/29 10,00% CONV 919317558 Convertible 01.02.2024 01.02.2029
NO0010744352 HGF Invest AS 15/25 4,16% 914392225 Bond 01.09.2015 01.09.2025
NO0010961048 HIG48 AS 21/31 3,50% C 919603763 Bond 31.03.2021 31.03.2031
NO0012441718 High Street Shopping AS 22/25 4,18% C 918753664 Bond 28.03.2022 28.03.2025
NO0011002495 HKN Energy III Ltd. 21/25 12,00% USD C MC-374736 Bond 26.05.2021 26.05.2025
NO0013063495 HMH Holding B.V. 23/26 9,99167% USD C 82719322 Bond 16.11.2023 16.11.2026
NO0011032989 HMV Eiendom AS 21/26 3,74% C 926735950 Bond 12.07.2021 12.07.2026
XS2020708413 XS2020708413 HOCHTIEF Aktiengesellsch 19/29 3,17% NOK HRB 279 Bond 01.07.2019 01.07.2029
NO0010886245 Holmestrand komm 20/25 FRN 917151229 Bond 22.06.2020 23.06.2025
NO0013335455 Holmestrand komm 4,83% CERT 091 131224 917151229 CD 13.09.2024 13.12.2024
NO0013323451 Holmestrand komm 4,87% CERT 092 271124 917151229 CD 27.08.2024 27.11.2024
NO0013330621 Holtålen komm 4,79% CERT 091 061224 937697767 CD 06.09.2024 06.12.2024
NO0013363796 Holtålen komm 4,88% CERT 182 090425 937697767 CD 09.10.2024 09.04.2025
NO0013406447 Holtålen komm 5,05% CERT 091 140225 937697767 CD 15.11.2024 14.02.2025
NO0013331207 Horten komm 4,84% CERT 091 091224 964951284 CD 09.09.2024 09.12.2024
NO0013364992 Horten komm 4,99% CERT 094 130125 964951284 CD 11.10.2024 13.01.2025
NO0013365007 Horten komm 4,99% CERT 094 130125 964951284 CD 11.10.2024 13.01.2025
NO0012708165 HOIN03 Hospitality Invest AS 22/25 FRN FLOOR C 985096546 Bond 03.10.2022 03.10.2025
XS1481198213 XS1481198213 HSBC Holdings plc 16/27 3,10% NOK 00617987 Bond 02.09.2016 02.03.2027
NO0012525643 HUD 128 Huddinge Kommun 22/27 FRN 212000-0068 Bond 19.05.2022 19.05.2027
NO0012937566 HUD 130 Huddinge Kommun 23/28 FRN 212000-0068 Bond 08.06.2023 08.03.2028
NO0012436270 HUGR01 ESG Hurtigr AS 22/29 11,00% EUR FLOOR STEP C 928119947 Bond 14.02.2022 23.02.2029
NO0010877202 HUKO02 Hustadvika komm 20/25 1,87% 921133642 Bond 18.03.2020 18.03.2025
NO0010877145 HUKO01 Hustadvika komm 20/25 FRN 921133642 Bond 18.03.2020 19.03.2025
NO0013182998 HUKO03 Hustadvika komm 24/28 FRN 921133642 Bond 20.03.2024 15.03.2028
NO0010778210 Hvamveien 1 AS 16/24 3,80% C 917179530 Bond 01.12.2016 01.12.2024
NO0010874548 EXPLO01 HX Finance II AS 20/25 3,375% EUR C 918500812 Bond 24.02.2020 24.02.2025
XS1233130118 XS1233130118 HYPO NOE Gruppe Bank AG 15/30 3,80% NOK 99073x Bond 21.05.2015 21.05.2030
NO0010873755 HLNG04 Höegh Evi Ltd. 20/25 FRN FLOOR C 39152 Bond 30.01.2020 30.01.2025
NO0011156622 HSPG42 PRO Høland og Setsk Spb 21/31 FRN STEP C SUB 937885822 Tier 2 24.11.2021 24.11.2031
NO0013209890 HSPG47 PRO Høland og Setsk Spb 24/PERP FRN C HYBRID 937885822 Tier 1 16.04.2024 16.04.2099
NO0010874035 HSPG35 PRO Høland og Setskog Spb 20/25 FRN 937885822 Bond 28.01.2020 28.02.2025
NO0010902133 HSPG36 PRO Høland og Setskog Spb 20/25 FRN 937885822 Bond 27.10.2020 27.10.2025
NO0010917180 HSPG38 PRO Høland og Setskog Spb 21/26 FRN 937885822 Bond 13.01.2021 13.04.2026
NO0011074577 HSPG39 PRO Høland og Setskog Spb 21/26 FRN 937885822 Bond 19.08.2021 19.08.2026
NO0011138869 HSPG40 PRO Høland og Setskog Spb 21/26 FRN 937885822 Bond 26.10.2021 26.11.2026
NO0012444621 HSPG43 PRO Høland og Setskog Spb 22/25 FRN 937885822 Bond 16.02.2022 16.06.2025
NO0012820028 HSPG44 PRO Høland og Setskog Spb 23/26 FRN 937885822 Bond 23.01.2023 23.01.2026
NO0013028837 HSPG45 PRO Høland og Setskog Spb 23/28 FRN 937885822 Bond 28.09.2023 28.09.2028
NO0013218339 HSPG48 PRO Høland og Setskog Spb 24/27 FRN 937885822 Bond 25.04.2024 25.10.2027
NO0013235069 HSPG49 PRO Høland og Setskog Spb 24/29 FRN 937885822 Bond 22.05.2024 22.08.2029
NO0013330647 HSPG50 PRO Høland og Setskog Spb 24/29 FRN 937885822 Bond 06.09.2024 06.03.2029
NO0013197087 HSPG46 PRO Høland og Setskog Spb 24/34 FRN C SUB 937885822 Tier 2 09.04.2024 09.10.2034
NO0011156614 HSPG41 PRO Høland og Spb 21/PERP FRN STEP C HYBRID 937885822 Tier 1 24.11.2021 24.11.2099
NO0012938325 NO0012938325 Hörmann Industries Gmb 23/28 7,00% EUR C HRB 141701 Bond 11.07.2023 11.07.2028
NO0010425804 IBB Byg A/S 08/10 12,00% DKK CONV 25345975 Convertible 13.06.2008 02.05.2010
NO0010837719 IBB Byg A/S NO0010425804 RD 020510 25345975 Claim, Redemption 03.05.2010 02.05.2099
XS2915439959 XS2915439959 Iberdrola Finanzas, S.A 24/36 4,592% NOK BI-41875-8 Bond 10.10.2024 10.10.2036
XS1615677108 XS1615677108 Iberdrola Finanzas, S.A. 17/27 2,70% NOK BI-41875-8 Bond 18.05.2017 18.05.2027
XS1815308470 XS1815308470 Iberdrola Finanzas, S.A. 18/28 3,01% NOK BI-41875-8 Bond 03.05.2018 03.05.2028
NO0013310714 Ibestad komm 5,02% CERT 171 270125 959469792 CD 09.08.2024 27.01.2025
NO0013172155 Ibestad komm 5,07% CERT 364 280225 959469792 CD 01.03.2024 28.02.2025
NO0010891872 IJEE01 ESG IceBear Steenwijk 20/26 FRN EUR FLOOR C 63993880 Bond 07.09.2020 07.09.2026
NO0013168153 IceBear Steenwijk 20/26 FRN EUR FLOOR C 63993880 Bond 07.09.2020 07.09.2026
NO0013014571 IceBear Steenwijk B.V 23/25 9,00% EUR C 63993880 Bond 13.09.2023 07.09.2025
NO0013168179 IceBear Steenwijk B.V 23/25 9,00% EUR C 63993880 Bond 13.09.2023 07.09.2025
NO0013338350 IceBear Steenwijk NO0013014571 IN 130924 63993880 Claim, Interest 13.09.2024 13.09.2099
NO0013338368 IceBear Steenwijk NO0013168179 IN 130924 63993880 Claim, Interest 13.09.2024 13.09.2099
NO0010822703 IK Gruppen AS 18/28 4,54% C 989069098 Bond 05.06.2018 05.06.2028
NO0011117145 IMPBC02 Impala Bondco plc 21/27 FRN SEK STEP C 13393061 Bond 20.10.2021 30.10.2027
NO0010995715 Impilo Delivery AB 21/26 FRN SEK FLOOR C 559196-6246 Bond 05.05.2021 23.03.2026
NO0010793870 IMSK SE 17/18 FRN USD C 977241774 Bond 08.06.2017 06.04.2018
NO0010838618 IMSK SE NO0010793870 IN 040618 977241774 Claim, Interest 04.06.2018 04.06.2099
NO0010838444 IMSK SE NO0010793870 RD 040618 977241774 Claim, Redemption 04.06.2018 04.06.2099
NO0013262386 Inderøy komm 4,855% CERT 183 171224 997391853 CD 17.06.2024 17.12.2024
NO0013319400 Inderøy komm 4,94% CERT 184 210225 997391853 CD 21.08.2024 21.02.2025
NO0012629445 INFK04 Indre Fosen komm 22/25 FRN 944305483 Bond 22.08.2022 24.02.2025
NO0012868795 INFK05 Indre Fosen komm 23/25 FRN 944305483 Bond 20.03.2023 20.03.2025
NO0012949587 INFK06 Indre Fosen komm 23/25 FRN 944305483 Bond 27.06.2023 27.06.2025
NO0013135293 INFK07 Indre Fosen komm 24/26 FRN 944305483 Bond 24.01.2024 26.01.2026
NO0013234476 INFK08 Indre Fosen komm 24/26 FRN 944305483 Bond 23.05.2024 26.05.2026
NO0013320770 Indre Fosen komm 4,65% CERT 365 270825 944305483 CD 27.08.2024 27.08.2025
NO0013324723 Indre Fosen komm 4,89% CERT 183 280225 944305483 CD 29.08.2024 28.02.2025
NO0013320127 Indre Østfold kom 4,774% CERT 092 221124 920123899 CD 22.08.2024 22.11.2024
NO0013384057 Indre Østfold kom 4,894% CERT 094 270125 920123899 CD 25.10.2024 27.01.2025
NO0013410498 Indre Østfold kom 4,899% CERT 122 240325 920123899 CD 22.11.2024 24.03.2025
NO0013405159 Indre Østfold kom 4,917% CERT 092 140225 920123899 CD 14.11.2024 14.02.2025
NO0010947369 IOKO04 Indre Østfold komm 21/25 FRN 920123899 Bond 08.03.2021 07.03.2025
NO0012768557 IOKO05 Indre Østfold komm 22/24 FRN 920123899 Bond 28.11.2022 28.11.2024
NO0012479163 IOKO03 Indre Østfold komm 22/25 FRN 920123899 Bond 21.03.2022 21.03.2025
NO0012923269 IOKO06 Indre Østfold komm 23/26 FRN 920123899 Bond 22.05.2023 24.08.2026
NO0013182840 IOKO07 Indre Østfold komm 24/27 FRN 920123899 Bond 18.03.2024 18.03.2027
NO0013229187 IOKO08 Indre Østfold komm 24/28 FRN 920123899 Bond 16.05.2024 16.05.2028
NO0013355222 Indre Østfold komm 4,61% CERT 364 260925 920123899 CD 27.09.2024 26.09.2025
NO0012928128 Indsin Invest AS 23/25 15,00% C 925386359 Bond 26.07.2023 15.06.2025
NO0013185744 Indsin Invest AS NO0012928128 IN 150324 925386359 Claim, Interest 15.03.2024 15.03.2099
NO0010592413 Industriens og Ekspo AS 10/25 5,40% STEP 995095831 Bond 08.12.2010 08.12.2025
NO0011130155 INFRO01 Infront AS 21/26 FRN EUR FLOOR C 979806787 Bond 28.10.2021 28.10.2026
XS0672356226 XS0672356226 ING Bank N.V. 11/26 5,03% NOK COVD FC010062 Bond 07.09.2011 07.09.2026
XS0862694816 XS0862694816 ING Bank N.V. 12/27 4,00% NOK FC010062 Bond 17.12.2012 17.12.2027
XS0752263730 XS0752263730 ING Bank N.V. 12/27 4,70% NOK FC010062 Bond 07.03.2012 07.03.2027
XS0889263157 XS0889263157 ING Bank N.V. 13/28 4,58% NOK FC010062 Bond 11.02.2013 11.02.2028
XS1918892586 XS1918892586 ING Groep N.V. 18/30 3,79% NOK 33231073 Bond 13.12.2018 13.12.2030
XS1939254568 XS1939254568 ING Groep N.V. 19/29 3,92% NOK 33231073 Bond 23.01.2019 23.01.2029
XS2048706837 XS2048706837 ING Groep N.V. 19/31 2,755% NOK 33231073 Bond 03.09.2019 03.09.2031
NO0013105114 A3LSQX Inin Group AS 24/27 FRN FLOOR C 911631474 Bond 05.01.2024 05.01.2027
NO0010875297 INNFY01 Innlandet fylke 20/25 1,995% 920717152 Bond 18.02.2020 18.02.2025
NO0013324053 Innlandet fylke 4,529% CERT 365 280825 920717152 CD 28.08.2024 28.08.2025
NO0010741549 VARDIA01 PRO INSR ASA 15/25 FRN STEP C SUB 994288962 Tier 2 03.07.2015 03.07.2025
NO0010871577 INSTA03 PRO Instabank ASA 19/PERP FRN STEP C HYBRID 816914582 Tier 1 18.12.2019 18.12.2099
NO0010874522 INSTA04 PRO Instabank ASA 20/30 FRN STEP C SUB 816914582 Tier 2 04.02.2020 04.02.2030
NO0012761628 INSTA06 PRO Instabank ASA 22/33 FRN STEP C SUB 816914582 Tier 2 25.11.2022 25.02.2033
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NO0012860941 INSTA07 PRO Instabank ASA 23/PERP FRN STEP C HYBRID 816914582 Tier 1 09.03.2023 09.03.2099
NO0012747858 NO0012747858 Inter-American Development B 22/27 3,77% IADB Bond 17.11.2022 17.11.2027
NO0012740275 NO0012740275 Inter-American Development B 22/37 3,70% IADB Bond 10.11.2022 10.11.2037
NO0013090647 NO0013090647 Inter-American Development B 23/28 3,84% IADB Bond 13.12.2023 13.12.2028
XS1551882357 XS1551882357 International Bank for 17/33 2,032% NOK 25726696 Bond 23.01.2017 23.01.2033
XS2468434142 XS2468434142 International Bank for 22/37 2,6425% NOK 25726696 Bond 13.04.2022 13.04.2037
XS2623869455 XS2623869455 International Bank for 23/38 3,296% NOK 25726696 Bond 19.05.2023 19.05.2038
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XS2081561362 XS2081561362 International Bank for R 19/25 1,75% NOK 25726696 Bond 20.11.2019 13.03.2025
XS2317058720 XS2317058720 International Bank for R 21/26 1,25% NOK 25726696 Bond 16.03.2021 16.03.2026
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XS2247545234 XS2247545234 International Bank for Rec 20/25 FRN NOK 25726696 Bond 23.10.2020 23.10.2025
XS2283173222 XS2283173222 International Bank for Rec 21/26 FRN NOK 25726696 Bond 13.01.2021 13.01.2026
XS2434337031 XS2434337031 International Bank for Rec 22/26 FRN NOK 25726696 Bond 20.01.2022 18.06.2026
XS2558956483 XS2558956483 International Bank for Rec 22/27 FRN NOK 25726696 Bond 28.11.2022 28.06.2027
XS2436817584 International Bank for Rec 22/29 FRN NOK 25726696 Bond 26.01.2022 26.01.2029
XS2581756389 XS2581756389 International Bank for Rec 23/28 FRN NOK 25726696 Bond 01.02.2023 01.02.2028
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XS2477810134 XS2477810134 International Developme 22/42 2,663% NOK InternationalDevelopmentAssociation Bond 12.05.2022 12.05.2042
XS2401848341 XS2401848341 International Developmen 21/27 1,75% NOK InternationalDevelopmentAssociation Bond 26.10.2021 17.02.2027
XS2492498667 XS2492498667 International Developmen 22/27 3,25% NOK InternationalDevelopmentAssociation Bond 21.06.2022 21.06.2027
XS2831737635 XS2831737635 International Developmen 24/39 3,77% NOK InternationalDevelopmentAssociation Bond 31.05.2024 31.05.2039
XS2719176948 XS2719176948 International Development 23/28 FRN NOK InternationalDevelopmentAssociation Bond 16.11.2023 16.11.2028
XS2900381117 XS2900381117 International Development 24/30 FRN NOK InternationalDevelopmentAssociation Bond 12.09.2024 12.03.2030
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XS2242302573 XS2242302573 International Finance Co 20/25 0,50% NOK 560636 Bond 08.10.2020 08.10.2025
XS2793149050 XS2793149050 International Finance Co 24/29 4,00% NOK 560636 Bond 26.03.2024 26.03.2029
XS2024764222 International Finance Facil 19/25 0% NOK 05857343 Bond 18.07.2019 15.03.2025
XS2198205184 XS2198205184 International Finance Facil 20/30 0% NOK 05857343 Bond 07.07.2020 05.04.2030
NO0012423476 IPC01 International Petroleu 22/27 7,25% USD C BC1103721 Bond 01.02.2022 01.02.2027
NO0010729908 Interoil Expl ASA 15/26 8,00% USD STEP C 988247006 Bond 28.01.2015 31.01.2026
NO0010863236 IOG01 IOG PLC 19/25 FRN EUR FLOOR C 7434350 Bond 20.09.2019 22.09.2025
NO0013035915 IOG PLC NO0010863236 IN 041023 7434350 Claim, Interest 04.10.2023 04.10.2099
NO0013187914 IOG PLC NO0010863236 IN 200324 7434350 Claim, Interest 20.03.2024 20.03.2099
NO0013267344 IOG PLC NO0010863236 IN 200624 7434350 Claim, Interest 20.06.2024 20.06.2099
NO0013034405 IOG PLC NO0010863236 IN 200923 7434350 Claim, Interest 02.10.2023 31.12.2099
NO0013353235 IOG PLC NO0010863236 IN 200924 7434350 Claim, Interest 20.09.2024 20.09.2099
NO0013106682 IOG PLC NO0010863236 IN 201223 7434350 Claim, Interest 20.12.2023 20.12.2099
NO0010673866 Island Offshore Shiphol 13/27 FRN STEP C 14597 Bond 05.04.2013 30.06.2027
NO0010760507 Island Offshore Shipholdi 16/27 FRN STEP 14597 Bond 31.03.2016 30.06.2027
XS2325336092 XS2325336092 Islandsbanki hf (Íslandsba 21/25 FRN NOK 491008-0160 Bond 26.03.2021 26.03.2025
NO0012755802 NO0012755802 Islandsbanki hf (Íslandsbanki) 22/25 FRN 491008-0160 Bond 18.11.2022 18.11.2025
NO0013132159 NO0013132159 Islandsbanki hf (Íslandsbanki) 24/27 FRN 491008-0160 Bond 25.01.2024 25.01.2027
NO0013271072 NO0013271072 Islandsbanki hf (Íslandsbanki) 24/27 FRN 491008-0160 Bond 02.07.2024 02.07.2027
NO0013233908 IVAR01 PRO IVAR IKS 24/26 FRN 871035032 Bond 21.05.2024 21.05.2026
NO0013329359 IVAR IKS 4,93% CERT 181 050325 871035032 CD 05.09.2024 05.03.2025
NO0013367649 IVAR IKS FRN CERT 365 161025 871035032 CD 16.10.2024 16.10.2025
NO0010813785 Izabelo NOK B.V. 18/48 ADJ 70126127 Bond 09.01.2018 09.01.2048
NO0010813801 Izabelo NOK B.V. 18/48 ADJ 70126127 Bond 09.01.2018 09.01.2048
XS1386405077 XS1386405077 Jackson National Life Gl 16/28 2,72% NOK 3383536 Bond 30.03.2016 30.03.2028
XS1344905788 XS1344905788 Jackson National Life Gl 16/31 3,05% NOK 3383536 Bond 15.01.2016 15.01.2031
XS1853269931 XS1853269931 Jackson National Life Gl 18/30 3,03% NOK 3383536 Bond 09.07.2018 09.07.2030
NO0010895311 JESB22 PRO JBF Spb 20/25 FRN 982719445 Bond 09.10.2020 09.04.2025
NO0010935497 JESB23 PRO JBF Spb 21/25 FRN 982719445 Bond 19.02.2021 19.08.2025
NO0011083438 JESB24 PRO JBF Spb 21/26 FRN 982719445 Bond 31.08.2021 02.03.2026
NO0012939018 JESB26 PRO JBF Spb 23/26 FRN 982719445 Bond 09.06.2023 09.06.2026
NO0012904137 JESB25 PRO JBF Spb 23/PERP FRN C HYBRID 982719445 Tier 1 03.05.2023 03.05.2099
NO0013311365 JESB29 PRO ESG JBF Spb 24/27 FRN 982719445 Bond 12.08.2024 12.08.2027
NO0013247643 JESB27 PRO ESG JBF Spb 24/29 FRN 982719445 Bond 29.05.2024 29.05.2029
NO0013250639 JESB28 PRO JBF Spb 24/34 FRN C SUB 982719445 Tier 2 04.06.2024 04.12.2034
NO0011041568 JEMIN01 PRO Jervois Mining USA Li 21/26 12,50% USD C NV19881021843 Bond 20.07.2021 20.07.2026
NO0012433301 JORA01 Jordanes Investment AS 22/26 FRN FLOOR C 812481282 Bond 11.02.2022 11.02.2026
NO0010923352 Jotun A/S 21/26 FRN FLOOR 923248579 Bond 10.02.2021 10.02.2026
NO0010923378 Jotun A/S 21/28 FRN FLOOR 923248579 Bond 10.02.2021 10.02.2028
NO0012866682 Jotun A/S 23/27 FRN FLOOR 923248579 Bond 15.03.2023 15.03.2027
NO0012866690 Jotun A/S 23/29 FRN FLOOR 923248579 Bond 15.03.2023 15.03.2029
NO0013182949 Jotun A/S 24/29 FRN FLOOR 923248579 Bond 22.03.2024 22.03.2029
XS0938933875 XS0938933875 JPMorgan Chase & Co 13/28 4,25% NOK 691011 Bond 30.05.2013 30.05.2028
XS1752967197 XS1752967197 JPMorgan Chase & Co 18/28 3,23% NOK 691011 Bond 06.11.2018 06.11.2028
NO0010960446 NO0010960446 Jyske Bank A/S 21/31 FRN C SUB 17616617 Tier 2 24.03.2021 24.03.2031
NO0012654534 NO0012654534 Jyske Bank A/S 22/32 FRN C SUB 17616617 Tier 2 31.08.2022 31.08.2032
NO0012834938 NO0012834938 Jyske Bank A/S 23/27 ADJ C 17616617 Tier 3 09.02.2023 09.02.2027
NO0010872989 JAEREN15 PRO Jæren Spb 20/25 FRN 937895976 Bond 14.01.2020 11.04.2025
NO0010891369 JAEREN16 PRO Jæren Spb 20/25 FRN 937895976 Bond 25.08.2020 25.08.2025
NO0011086928 JAEREN20 PRO Jæren Spb 21/24 FRN 937895976 Bond 31.08.2021 29.11.2024
NO0010932536 JAEREN17 PRO Jæren Spb 21/26 FRN 937895976 Bond 18.02.2021 18.02.2026
NO0010932544 JAEREN18 PRO Jæren Spb 21/27 FRN 937895976 Bond 18.02.2021 18.02.2027
NO0011017808 JAEREN19 PRO Jæren Spb 21/31 FRN STEP C SUB 937895976 Tier 2 09.06.2021 09.06.2031
NO0012804188 JAEREN21 PRO Jæren Spb 23/28 FRN 937895976 Bond 09.01.2023 09.02.2028
NO0012989971 JAEREN24 PRO Jæren Spb 23/28 FRN 937895976 Bond 18.08.2023 18.08.2028
NO0012927443 JAEREN23 PRO Jæren Spb 23/33 FRN C SUB 937895976 Tier 2 30.05.2023 30.08.2033
NO0012866674 JAEREN22 PRO Jæren Spb 23/PERP FRN C HYBRID 937895976 Tier 1 20.03.2023 20.03.2099
NO0013320051 JAEREN25 PRO ESG Jæren Spb 24/29 FRN 937895976 Bond 27.08.2024 27.08.2029
NO0013106666 Jøtul AS 24/26 FRN FLOOR C 989519247 Bond 15.01.2024 15.07.2026
NO0010775836 Kabelgaten Holding AS 16/26 3,09% 917756236 Bond 03.10.2016 02.10.2026
NO0013265173 KARBE01 PRO Karbon Equity AS 24/27 FRN FLOOR C 933225313 Bond 28.06.2024 28.06.2027
NO0013168005 A3825C Karlsberg Brauerei Gmb 24/29 6,00% EUR C HRB 17866 Bond 02.05.2024 02.05.2029
NO0010841539 KAKO04 Karmøy komm 19/26 2,45% 940791901 Bond 16.01.2019 16.01.2026
NO0011104192 KAKO05 Karmøy komm 21/25 FRN 940791901 Bond 20.09.2021 22.09.2025
NO0012692609 KAKO06 Karmøy komm 22/26 FRN 940791901 Bond 01.09.2022 01.09.2026
NO0013070946 KAKO07 Karmøy komm 23/25 FRN 940791901 Bond 15.11.2023 14.11.2025
NO0013185751 KAKO08 Karmøy komm 24/26 FRN 940791901 Bond 20.03.2024 20.03.2026
NO0012888769 A30V78 Katjes International G 23/28 6,75% EUR C HRA 1076 Bond 21.09.2023 21.09.2028
XS2453872884 XS2453872884 KBC IFIMA S.A. 22/25 2,00% NOK B193577 Bond 07.04.2022 07.04.2025
XS2463978721 XS2463978721 KBC IFIMA S.A. 22/25 2,50% NOK B193577 Bond 05.05.2022 05.05.2025
XS2485815141 XS2485815141 KBC IFIMA S.A. 22/25 2,70% NOK B193577 Bond 07.07.2022 07.07.2025
XS0236399399 KfW Bankengruppe 05/30 4,37% NOK 200348788 Bond 28.11.2005 28.11.2030
XS0256879577 XS0256879577 KfW Bankengruppe 06/26 4,454% NOK 200348788 Bond 16.06.2006 16.06.2026
XS0254868036 KfW Bankengruppe 06/26 4,50% NOK 200348788 Bond 26.05.2006 26.05.2026
XS0259559515 KfW Bankengruppe 06/32 4,65% NOK 200348788 Bond 10.07.2006 10.07.2032
XS0277177217 KfW Bankengruppe 06/36 4,30% NOK 200348788 Bond 15.12.2006 15.12.2036
XS2315837778 XS2315837778 KfW Bankengruppe 21/25 1,125% NOK 200348788 Bond 16.03.2021 08.08.2025
XS2465633225 XS2465633225 KfW Bankengruppe 22/27 2,875% NOK 200348788 Bond 05.04.2022 17.02.2027
XS2563353957 XS2563353957 KfW Bankengruppe 22/27 3,367% NOK 200348788 Bond 06.12.2022 02.12.2027
XS2574268822 XS2574268822 KfW Bankengruppe 23/28 3,18% NOK 200348788 Bond 11.01.2023 15.03.2028
XS2689964869 XS2689964869 KfW Bankengruppe 23/28 4,25% NOK 200348788 Bond 19.09.2023 29.09.2028
XS2671017874 XS2671017874 KfW Bankengruppe 23/29 4,25% NOK 200348788 Bond 22.08.2023 30.01.2029
XS2818155710 XS2818155710 KfW Bankengruppe 24/26 4,25% NOK 200348788 Bond 13.05.2024 17.09.2026
XS2758730555 XS2758730555 KfW Bankengruppe 24/29 3,875% NOK 200348788 Bond 01.02.2024 15.02.2029
XS2813175713 XS2813175713 KfW Bankengruppe 24/29 4,125% NOK 200348788 Bond 03.05.2024 06.09.2029
NO0012550112 KG9 Holding AS 22/26 5,362% C 923640428 Bond 01.07.2022 01.07.2026
NO0013225698 Kinn komm 4,939% CERT 365 080525 820956532 CD 08.05.2024 08.05.2025
NO0010911845 KIST08 PRO Kistefos AS 20/25 FRN FLOOR C 951408743 Bond 16.12.2020 16.09.2025
NO0012662362 KIST09 PRO Kistefos AS 22/26 FRN FLOOR C 951408743 Bond 09.09.2022 09.09.2026
NO0012813080 KIST10 PRO Kistefos AS 23/27 FRN FLOOR C 951408743 Bond 26.01.2023 26.07.2027
NO0013008771 KIST11 PRO Kistefos AS 23/28 FRN FLOOR C 951408743 Bond 13.09.2023 13.09.2028
NO0012867318 KENO02 PRO Kistos Energy (Norw AS 23/26 9,75% USD C 918980946 Bond 17.03.2023 17.09.2026
NO0012867326 Kistos Energy (Norwa AS 23/83 0% USD SUB 918980946 Bond 21.03.2023 21.03.2083
NO0011142036 KENO01 PRO Kistos Energy (Norway) AS 21/27 ADJ USD 918980946 Bond 10.11.2021 10.11.2027
NO0013008656 KCC05 ESG Klaveness Combinat ASA 23/28 FRN FLOOR C 920662838 Bond 05.09.2023 05.09.2028
NO0010111149 Kleivan II AS 01/02 10,00% 957790771 Bond 22.08.2001 31.12.2002
NO0010837628 Kleivan II AS NO0010111149 IN 311202 957790771 Claim, Interest 31.12.2002 31.12.2099
NO0010837636 Kleivan II AS NO0010111149 RD 311202 957790771 Claim, Redemption 31.12.2002 31.12.2099
NO0012447806 KLEKO02 Klepp komm 22/25 FRN 864969682 Bond 18.02.2022 18.02.2025
NO0013404525 Klepp komm 4,90% CERT 181 120525 864969682 CD 12.11.2024 12.05.2025
NO0012662396 KLPB19 PRO KLP Banken AS 22/25 FRN 993821837 Bond 01.09.2022 01.09.2025
NO0013001099 KLPB20 PRO KLP Banken AS 23/26 FRN 993821837 Bond 25.08.2023 25.08.2026
NO0013140053 KLPB21 PRO KLP Banken AS 24/27 FRN 993821837 Bond 01.02.2024 01.02.2027
NO0010881501 KLPBK09 PRO KLP Boligkreditt AS 20/25 FRN C COVD 912719634 Bond 30.04.2020 30.09.2025
NO0011019010 KLPBK10 PRO KLP Boligkreditt AS 21/26 FRN C COVD 912719634 Bond 10.06.2021 27.07.2026
NO0011147076 KLPBK11 PRO KLP Boligkreditt AS 21/27 FRN C COVD 912719634 Bond 10.11.2021 18.05.2027
NO0012550179 KLPBK12 PRO KLP Boligkreditt AS 22/26 FRN C COVD 912719634 Bond 17.06.2022 17.02.2026
NO0013161851 KLPBK13 PRO KLP Boligkreditt AS 24/28 FRN C COVD 912719634 Bond 20.02.2024 12.09.2028
XS1217882171 XS1217882171 KLP Gjensidig Forsikring 15/45 ADJ C SUB 938708606 Tier 2 10.06.2015 10.06.2045
NO0010787997 KLPKK21 KLP kommkreditt AS 17/27 ADJ C COVD 994526944 Bond 08.03.2017 10.05.2027
NO0010881949 KLPKK25 PRO KLP kommkreditt AS 20/25 FRN C COVD 994526944 Bond 11.05.2020 11.06.2025
NO0011140428 KLPKK26 PRO KLP kommkreditt AS 21/26 FRN C COVD 994526944 Bond 28.10.2021 15.10.2026
NO0012724808 KLPKK28 PRO KLP kommkreditt AS 22/27 ADJ C COVD 994526944 Bond 18.10.2022 18.10.2027
NO0012724824 KLPKK27 PRO KLP kommkreditt AS 22/29 ADJ C COVD 994526944 Bond 17.10.2022 17.10.2029
NO0012883133 KLPKK29 PRO KLP kommkreditt AS 23/27 FRN C COVD 994526944 Bond 03.04.2023 03.08.2027
NO0013220228 KLPKK30 PRO KLP kommkreditt AS 24/28 FRN C COVD 994526944 Bond 30.04.2024 30.10.2028
NO0010769110 Koggbron AB 16/17 15,00% C 556977-0570 Bond 14.07.2016 14.04.2017
NO0010769128 Koggbron AB 16/17 15,00% SEK C 556977-0570 Bond 14.07.2016 14.04.2017
NO0010769136 Koggbron AB 16/17 15,00% USD C 556977-0570 Bond 14.07.2016 14.04.2017
NO0010791270 Koggbron AB 17/19 12,00% C 556977-0570 Bond 31.05.2017 31.05.2019
NO0010791288 Koggbron AB 17/19 12,00% USD C 556977-0570 Bond 31.05.2017 31.05.2019
NO0010839038 Koggbron AB NO0010791270 IN 301118 556977-0570 Claim, Interest 30.11.2018 30.11.2099
NO0010839178 Koggbron AB NO0010791270 IN 310518 556977-0570 Claim, Interest 31.05.2018 31.05.2099
NO0010856313 Koggbron AB NO0010791270 IN 310519 556977-0570 Claim, Interest 31.05.2019 31.05.2099
NO0010856339 Koggbron AB NO0010791270 RD 310519 556977-0570 Claim, Redemption 31.05.2019 31.05.2099
NO0010839020 Koggbron AB NO0010791288 IN 301118 556977-0570 Claim, Interest 30.11.2018 30.11.2099
NO0010839186 Koggbron AB NO0010791288 IN 310518 556977-0570 Claim, Interest 31.05.2018 31.05.2099
NO0010856347 Koggbron AB NO0010791288 IN 310519 556977-0570 Claim, Interest 31.05.2019 31.05.2099
NO0010856321 Koggbron AB NO0010791288 RD 310519 556977-0570 Claim, Redemption 31.05.2019 31.05.2099
NO0010787641 Koggbron Projekt 17/19 18,00% USD C SUB 556853-3995 Bond 24.03.2017 24.03.2019
NO0010787617 Koggbron Projekt AB 17/19 11,50% C 556853-3995 Bond 24.03.2017 24.03.2019
NO0010787625 Koggbron Projekt AB 17/19 11,50% USD C 556853-3995 Bond 24.03.2017 24.03.2019
NO0010787633 Koggbron Projekt AB 17/19 18,00% C SUB 556853-3995 Bond 24.03.2017 24.03.2019
NO0010848674 Koggbron Projekt NO0010787633 RD 240319 556853-3995 Claim, Redemption 25.03.2019 24.03.2099
NO0010848690 Koggbron Projekt NO0010787641 RD 240319 556853-3995 Claim, Redemption 25.03.2019 24.03.2099
NO0010779077 NO0010779077 Kommkredit A/S 16/31 2,26% 22128612 Bond 24.11.2016 24.11.2031
NO0011036782 Kommkredit A/S 21/26 FRN 22128612 Bond 29.06.2021 29.06.2026
NO0010993017 NO0010993017 Kommkredit A/S 21/27 FRN 22128612 Bond 10.05.2021 10.02.2027
NO0011079881 NO0011079881 Kommkredit A/S 21/27 FRN 22128612 Bond 26.08.2021 26.08.2027
XS2554504501 XS2554504501 Kommkredit A/S 22/26 3,795% NOK 22128612 Bond 16.11.2022 16.11.2026
XS2469137223 XS2469137223 Kommkredit A/S 22/43 2,70% NOK 22128612 Bond 13.04.2022 13.04.2043
NO0012879032 NO0012879032 Kommkredit A/S 23/25 FRN 22128612 Bond 30.03.2023 30.09.2025
XS1188118100 KOMB80 E ESG Kommunalbanken AS 15/25 2,125% USD 981203267 Bond 11.02.2015 11.02.2025
XS1397023448 XS1397023448 Kommunalbanken AS 16/26 0,625% 981203267 Bond 20.04.2016 20.04.2026
NO0010760168 KOMB82 Kommunalbanken AS 16/33 3,02% C SUB 981203267 Tier 2 23.05.2016 23.05.2033
NO0010759293 Kommunalbanken AS 16/36 2,30% 981203267 Bond 17.03.2016 17.03.2036
XS1400885874 XS1400885874 Kommunalbanken AS 16/46 0% USD C 981203267 Bond 26.04.2016 26.04.2046
XS1496484707 XS1496484707 Kommunalbanken AS 16/46 0% USD C 981203267 Bond 28.09.2016 28.09.2046
XS1504950913 XS1504950913 Kommunalbanken AS 16/46 0% USD C 981203267 Bond 17.10.2016 17.10.2046
XS1520796720 XS1520796720 Kommunalbanken AS 16/46 0% USD C 981203267 Bond 29.11.2016 29.11.2046
XS1617533275 XS1617533275 Kommunalbanken AS 17/27 0,875% 981203267 Bond 24.05.2017 24.05.2027
NO0010811276 KOMB84 ESG Kommunalbanken AS 17/27 2,00% 981203267 Bond 29.11.2017 29.11.2027
NO0010811284 KOMB85 ESG Kommunalbanken AS 17/32 2,20% 981203267 Bond 29.11.2017 29.11.2032
XS1550202375 Kommunalbanken AS 17/47 0% USD C 981203267 Bond 24.01.2017 24.01.2047
XS1563546271 Kommunalbanken AS 17/47 0% USD C 981203267 Bond 17.02.2017 17.02.2047
NO0010794373 KOMB83 Kommunalbanken AS 17/PERP ADJ C HYBRID 981203267 Tier 1 21.06.2017 21.06.2099
XS1808491143 XS1808491143 Kommunalbanken AS 18/48 0% C 981203267 Bond 20.04.2018 20.04.2048
XS1753030656 XS1753030656 Kommunalbanken AS 18/48 0% USD C 981203267 Bond 24.01.2018 24.01.2048
XS1792203934 Kommunalbanken AS 18/48 0% USD C 981203267 Bond 22.03.2018 22.03.2048
XS1807495194 XS1807495194 Kommunalbanken AS 18/48 1,87% C 981203267 Bond 16.04.2018 16.04.2048
XS1809253849 XS1809253849 Kommunalbanken AS 18/48 1,92% C 981203267 Bond 19.04.2018 19.04.2048
XS1824214487 XS1824214487 Kommunalbanken AS 18/48 2,057% C 981203267 Bond 23.05.2018 23.05.2048
XS2047497289 XS2047497289 Kommunalbanken AS 19/26 0,125% SEK 981203267 Bond 28.08.2019 28.08.2026
XS2069102163 XS2069102163 Kommunalbanken AS 19/29 0,05% 981203267 Bond 24.10.2019 24.10.2029
XS2012056623 Kommunalbanken AS 19/29 0,805% SEK 981203267 Bond 14.06.2019 14.06.2029
XS2009019089 Kommunalbanken AS 19/29 0,863% SEK 981203267 Bond 11.06.2019 11.06.2029
XS2066025110 XS2066025110 Kommunalbanken AS 19/29 1,75% NOK 981203267 Bond 15.10.2019 15.10.2029
XS2100849756 XS2100849756 Kommunalbanken AS 20/24 1,00% GBP 981203267 Bond 14.01.2020 12.12.2024
US50048MCW82 Kommunalbanken AS 20/25 0,375% 981203267 Bond 11.09.2020 11.09.2025
XS2228393356 XS2228393356 Kommunalbanken AS 20/25 0,375% USD 981203267 Bond 11.09.2020 11.09.2025
XS2133326947 XS2133326947 Kommunalbanken AS 20/25 0,875% USD 981203267 Bond 12.03.2020 12.03.2025
XS2106015469 XS2106015469 Kommunalbanken AS 20/28 1,932% USD 981203267 Bond 22.01.2020 22.01.2028
US50048MCV00 Kommunalbanken AS 20/30 1,125% 981203267 Bond 16.06.2020 14.06.2030
XS2189767515 XS2189767515 Kommunalbanken AS 20/30 1,125% USD 981203267 Bond 16.06.2020 14.06.2030
NO0010876774 Kommunalbanken AS 20/PERP FRN C HYBRID 981203267 Tier 1 17.06.2020 17.06.2099
XS2305738598 XS2305738598 Kommunalbanken AS 21/25 0,25% GBP 981203267 Bond 23.02.2021 15.12.2025
US50048MCZ14 Kommunalbanken AS 21/26 0,50% 981203267 Bond 13.01.2021 13.01.2026
XS2282405328 XS2282405328 Kommunalbanken AS 21/26 0,50% USD 981203267 Bond 13.01.2021 13.01.2026
XS2325602402 XS2325602402 Kommunalbanken AS 21/26 0,625% GBP 981203267 Bond 30.03.2021 15.12.2026
XS2303044676 XS2303044676 Kommunalbanken AS 21/26 1,07% NOK 981203267 Bond 17.02.2021 17.02.2026
US50048MDD92 US50048MDD92 Kommunalbanken AS 21/26 1,125% 981203267 Bond 26.10.2021 26.10.2026
XS2401731158 XS2401731158 Kommunalbanken AS 21/26 1,125% USD 981203267 Bond 26.10.2021 26.10.2026
XS2408621238 XS2408621238 Kommunalbanken AS 21/26 FRN USD 981203267 Bond 17.11.2021 17.06.2026
NO0010934755 Kommunalbanken AS 21/31 1,63% 981203267 Bond 18.02.2021 18.02.2031
XS2447758025 XS2447758025 Kommunalbanken AS 22/25 0,765% SEK 981203267 Bond 24.02.2022 24.02.2025
XS2537112059 XS2537112059 Kommunalbanken AS 22/25 3,75% GBP 981203267 Bond 26.09.2022 26.09.2025
US50048MDH07 Kommunalbanken AS 22/25 4,625% 981203267 Bond 25.10.2022 24.10.2025
XS2549048481 XS2549048481 Kommunalbanken AS 22/25 4,625% USD 981203267 Bond 25.10.2022 24.10.2025
XS2473321896 XS2473321896 Kommunalbanken AS 22/27 1,06% 981203267 Bond 25.04.2022 26.04.2027
US50048MDF41 US50048MDF41 Kommunalbanken AS 22/27 1,50% 981203267 Bond 20.01.2022 20.01.2027
XS2434314840 XS2434314840 Kommunalbanken AS 22/27 1,50% USD 981203267 Bond 20.01.2022 20.01.2027
XS2560994035 XS2560994035 Kommunalbanken AS 22/27 2,75% 981203267 Bond 29.11.2022 29.11.2027
US50047JAK43 Kommunalbanken AS 22/27 3,80% CAD 981203267 Bond 08.12.2022 07.12.2027
XS2564075583 XS2564075583 Kommunalbanken AS 22/27 3,80% CAD 981203267 Bond 07.12.2022 07.12.2027
XS2565902470 XS2565902470 Kommunalbanken AS 22/29 4,265% USD C 981203267 Bond 14.12.2022 14.12.2029
XS2549808892 XS2549808892 Kommunalbanken AS 22/29 4,38% USD 981203267 Bond 26.10.2022 26.10.2029
XS2468108340 XS2468108340 Kommunalbanken AS 22/37 2,72% NOK 981203267 Bond 13.04.2022 13.04.2037
XS2436795160 XS2436795160 Kommunalbanken AS 22/42 2,48% NOK C 981203267 Bond 28.01.2022 28.01.2042
XS2575146092 XS2575146092 Kommunalbanken AS 23/26 2,87% CNY 981203267 Bond 17.01.2023 17.01.2026
XS2587279089 XS2587279089 Kommunalbanken AS 23/26 4,00% GBP 981203267 Bond 14.02.2023 13.02.2026
XS2707689209 XS2707689209 Kommunalbanken AS 23/27 5,125% USD 981203267 Bond 24.10.2023 01.03.2027
XS2577222792 XS2577222792 Kommunalbanken AS 23/28 4,00% USD 981203267 Bond 19.01.2023 19.01.2028
XS2673978487 XS2673978487 Kommunalbanken AS 23/28 4,50% USD 981203267 Bond 01.09.2023 01.09.2028
XS2684874253 XS2684874253 Kommunalbanken AS 23/43 5,36% USD C 981203267 Bond 21.09.2023 21.09.2043
NO0012935354 KOMB86 Kommunalbanken AS 23/PERP 4,22% C HYBRID 981203267 Tier 1 09.06.2023 09.06.2099
XS2747093594 XS2747093594 Kommunalbanken AS 24/27 2,941% SEK 981203267 Bond 15.01.2024 15.01.2027
XS2863659731 XS2863659731 Kommunalbanken AS 24/27 3,00% 981203267 Bond 22.07.2024 22.07.2027
XS2760760277 XS2760760277 Kommunalbanken AS 24/27 4,125% GBP 981203267 Bond 05.02.2024 22.07.2027
XS2838545825 XS2838545825 Kommunalbanken AS 24/27 4,625% USD 981203267 Bond 11.06.2024 10.09.2027
XS2778384516 XS2778384516 Kommunalbanken AS 24/28 FRN USD 981203267 Bond 05.03.2024 03.03.2028
XS2919678925 Kommunalbanken AS 24/28 FRN USD 981203267 Bond 15.10.2024 03.03.2028
XS2905418591 XS2905418591 Kommunalbanken AS 24/29 2,199% SEK 981203267 Bond 19.09.2024 19.09.2029
XS2809676294 XS2809676294 Kommunalbanken AS 24/29 2,875% 981203267 Bond 25.04.2024 25.04.2029
XS2910613970 XS2910613970 Kommunalbanken AS 24/29 3,625% USD 981203267 Bond 01.10.2024 04.09.2029
XS2753542104 XS2753542104 Kommunalbanken AS 24/29 4,25% USD 981203267 Bond 24.01.2024 24.01.2029
XS2932096691 XS2932096691 Kommunalbanken AS 24/31 2,625% 981203267 Bond 05.11.2024 05.11.2031
XS2920501868 XS2920501868 Kommunalbanken AS 24/31 2,71% SEK 981203267 Bond 16.10.2024 16.10.2031
XS2762973332 XS2762973332 Kommunalbanken AS 24/34 5,20% USD C 981203267 Bond 07.02.2024 07.02.2034
NO0013260943 Kongsberg Auto ASA 24/28 FRN EUR FLOOR C 942593821 Bond 24.06.2024 24.06.2028
NO0010766512 KOG09 Kongsberg Gruppen ASA 16/26 3,20% 943753709 Bond 02.06.2016 02.06.2026
NO0010940422 KOG14 Kongsberg Gruppen ASA 21/26 FRN 943753709 Bond 26.02.2021 26.02.2026
NO0012928227 KOG15 Kongsberg Gruppen ASA 23/30 4,85% 943753709 Bond 31.05.2023 31.05.2030
NO0010773880 KOGKO01 Kongsberg komm 16/26 2,078% 942402465 Bond 15.09.2016 15.09.2026
NO0012549510 KOGKO06 Kongsberg komm 22/25 FRN 942402465 Bond 13.06.2022 13.03.2025
NO0012637331 KOGKO07 Kongsberg komm 22/25 FRN 942402465 Bond 24.08.2022 26.05.2025
NO0012734989 KOGKO08 Kongsberg komm 22/26 FRN 942402465 Bond 24.10.2022 24.04.2026
NO0013020453 KOGKO09 Kongsberg komm 23/26 FRN 942402465 Bond 20.09.2023 20.03.2026
NO0013220269 KOGKO10 Kongsberg komm 24/27 FRN 942402465 Bond 29.04.2024 29.04.2027
NO0013316596 Kongsberg komm 4,657% CERT 365 190825 942402465 CD 19.08.2024 19.08.2025
NO0013353292 Kongsberg komm 4,755% CERT 087 201224 942402465 CD 24.09.2024 20.12.2024
NO0013353284 Kongsberg komm 4,755% CERT 170 130325 942402465 CD 24.09.2024 13.03.2025
NO0013324129 Kongsberg komm 4,827% CERT 184 280225 942402465 CD 28.08.2024 28.02.2025
NO0010729551 Kongsberg Kontoreiendom AS 15/26 LNK 912891291 Linked Notes 20.01.2015 20.01.2026
NO0010858756 Koppholen 16 AS 20/25 3,60% C 921657773 Bond 29.05.2020 29.05.2025
XS1260652489 XS1260652489 Korea Development Bank 15/25 2,905% NOK 1018203970 Bond 21.07.2015 21.07.2025
NO0013250647 KoskiRent Oy 24/27 FRN EUR FLOOR C 2539752-6 Bond 28.06.2024 28.06.2027
NO0012768482 KRAB01 PRO Kraft Bank ASA 22/32 FRN C SUB 918315446 Tier 2 02.12.2022 02.12.2032
NO0010861107 KRAKO02 Kragerø komm 19/29 1,968% 963946902 Bond 28.08.2019 28.08.2029
NO0011128340 KRAKO03 Kragerø komm 21/25 1,865% 963946902 Bond 15.10.2021 15.10.2025
NO0012899337 KRAKO04 Kragerø komm 23/28 4,045% 963946902 Bond 24.04.2023 24.04.2028
NO0013324103 Kragerø komm 4,75% CERT 303 270625 963946902 CD 28.08.2024 27.06.2025
NO0013384099 Kragerø komm 4,829% CERT 182 250425 963946902 CD 25.10.2024 25.04.2025
NO0012839572 KRNOR01 Kredinor AS 23/27 FRN FLOOR C 927901048 Bond 23.02.2023 23.02.2027
NO0010921372 KFS62 PRO ESG Kredittforeningen for Spb 21/26 FRN 986918930 Bond 03.02.2021 03.02.2026
NO0011110439 KFS63 PRO Kredittforeningen for Spb 21/26 FRN 986918930 Bond 28.09.2021 28.09.2026
NO0012482050 KFS65 PRO Kredittforeningen for Spb 22/25 FRN 986918930 Bond 21.03.2022 21.03.2025
NO0012495284 KFS66 PRO ESG Kredittforeningen for Spb 22/25 FRN 986918930 Bond 08.04.2022 08.05.2025
NO0012524968 KFS67 PRO ESG Kredittforeningen for Spb 22/26 FRN 986918930 Bond 11.05.2022 11.05.2026
NO0012820648 KFS68 PRO Kredittforeningen for Spb 23/28 FRN 986918930 Bond 26.01.2023 12.01.2028
NO0013185793 KFS69 PRO Kredittforeningen for Spb 24/27 FRN 986918930 Bond 21.03.2024 21.09.2027
NO0013218354 KFS70 PRO ESG Kredittforeningen for Spb 24/27 FRN 986918930 Bond 24.04.2024 23.04.2027
NO0013218362 KFS71 PRO ESG Kredittforeningen for Spb 24/29 FRN 986918930 Bond 24.04.2024 23.04.2029
NO0013350504 Kristiansand komm 4,469% CERT 364 190925 820852982 CD 20.09.2024 19.09.2025
NO0013365031 Kristiansand komm 4,79% CERT 182 110425 820852982 CD 11.10.2024 11.04.2025
NO0013392316 Kristiansand komm 4,844% CERT 120 060325 820852982 CD 06.11.2024 06.03.2025
NO0010877004 KRKO02 Kristiansund komm 20/25 1,83% 991891919 Bond 13.03.2020 13.03.2025
NO0012708173 KRKO03 Kristiansund komm 22/25 4,28% 991891919 Bond 22.09.2022 22.09.2025
NO0012954322 KRKO04 Kristiansund komm 23/26 4,905% 991891919 Bond 30.06.2023 30.06.2026
NO0013188037 Kristiansund komm 24/27 4,67% 991891919 Bond 22.03.2024 18.03.2027
NO0013333484 KRKO05 Kristiansund komm 24/28 3,835% 991891919 Bond 10.09.2024 12.09.2028
NO0013386714 Kristiansund komm 4,643% CERT 031 291124 991891919 CD 29.10.2024 29.11.2024
NO0013367672 Kristiansund komm 4,708% CERT 065 191224 991891919 CD 15.10.2024 19.12.2024
NO0013363788 Kristiansund komm 4,714% CERT 070 181224 991891919 CD 09.10.2024 18.12.2024
NO0013358101 Kristiansund komm 4,715% CERT 063 031224 991891919 CD 01.10.2024 03.12.2024
NO0013360578 Kristiansund komm 4,729% CERT 069 121224 991891919 CD 04.10.2024 12.12.2024
NO0013354027 Kristiansund komm 4,746% CERT 083 171224 991891919 CD 25.09.2024 17.12.2024
NO0013391656 Kristiansund komm 4,86% CERT 065 090125 991891919 CD 05.11.2024 09.01.2025
NO0013405746 Kristiansund komm 4,934% CERT 092 140225 991891919 CD 14.11.2024 14.02.2025
NO0010940539 Krona Eiendom AS 21/26 2,75% C 918047255 Bond 15.03.2021 15.03.2026
NO0012903444 KRUK001 KRUK S.A. 23/28 FRN EUR FLOOR C 0000240829 Bond 10.05.2023 10.05.2028
NO0012544602 KTP Holding I AS 22/25 5,7275% STEP C 921562942 Bond 24.06.2022 24.06.2025
NO0010852676 KTP Holding II AS 19/25 4,10% STEP C 921563361 Bond 21.06.2019 22.09.2025
NO0010876725 KVKO02 Kvam Herad 20/25 1,69% 944233199 Bond 11.03.2020 11.03.2025
NO0013178004 KVKO03 Kvam Herad 24/29 4,548% 944233199 Bond 11.03.2024 12.03.2029
NO0013387274 Kvam Herad 4,795% CERT 182 300425 944233199 CD 30.10.2024 30.04.2025
XS2620969639 XS2620969639 Kvika banki hf. 23/26 FRN NOK 5405022930 Bond 11.05.2023 11.05.2026
NO0010886815 KDSB25 PRO Kvinesdal Spb 20/30 FRN STEP C SUB 937894805 Tier 2 02.07.2020 02.07.2030
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NO0012441676 KDSB31 PRO Kvinesdal Spb 22/26 FRN 937894805 Bond 11.02.2022 11.02.2026
NO0012555541 KDSB33 PRO Kvinesdal Spb 22/26 FRN 937894805 Bond 21.06.2022 21.09.2026
NO0012943929 KDSB36 PRO Kvinesdal Spb 23/27 FRN 937894805 Bond 16.06.2023 16.06.2027
NO0012883273 KDSB35 PRO Kvinesdal Spb 23/33 FRN C SUB 937894805 Tier 2 04.04.2023 04.10.2033
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NO0013182220 KDSB37 PRO Kvinesdal Spb 24/28 FRN 937894805 Bond 15.03.2024 01.03.2028
NO0013382812 KDSB38 PRO Kvinesdal Spb 24/29 FRN 937894805 Bond 25.10.2024 25.10.2029
NO0013405092 Kvinnherad komm 4,94% CERT 092 130225 964967636 CD 13.11.2024 13.02.2025
XS1311330812 XS1311330812 Land Niederösterreich 15/25 2,68% NOK 0059986 Bond 10.11.2015 10.11.2025
XS1358774419 Land Niederösterreich 16/31 2,82% NOK 0059986 Bond 19.02.2016 19.02.2031
XS2384256629 XS2384256629 Land Nordrhein-Westfalen ( 21/25 FRN NOK LandesNordrheinWestfalen Bond 07.09.2021 07.03.2025
XS2338536233 XS2338536233 Land Nordrhein-Westfalen ( 21/26 FRN NOK LandesNordrheinWestfalen Bond 04.05.2021 04.05.2026
XS2404974847 XS2404974847 Land Nordrhein-Westfalen ( 21/26 FRN NOK LandesNordrheinWestfalen Bond 05.11.2021 05.11.2026
XS2353405421 XS2353405421 Land Nordrhein-Westfalen ( 21/27 FRN NOK LandesNordrheinWestfalen Bond 15.06.2021 15.03.2027
XS2377318162 XS2377318162 Land Nordrhein-Westfalen ( 21/27 FRN NOK LandesNordrheinWestfalen Bond 18.08.2021 18.08.2027
XS2450223792 XS2450223792 Land Nordrhein-Westfalen ( 22/25 FRN NOK LandesNordrheinWestfalen Bond 01.03.2022 01.09.2025
XS2440105125 XS2440105125 Land Nordrhein-Westfalen ( 22/27 FRN NOK LandesNordrheinWestfalen Bond 03.02.2022 03.02.2027
XS2435129726 XS2435129726 Land Sachsen-Anhalt 22/27 FRN NOK LandSachsenAnhalt Bond 25.01.2022 25.01.2027
XS2446295045 XS2446295045 Landeskreditbank Baden-W 22/27 2,34% NOK HRA 104441 Bond 18.02.2022 18.02.2027
NO0013277582 Landkreditt Ban AS 4,95% CERT 274 090425 980374181 CD 09.07.2024 09.04.2025
NO0010890056 LANDK52 PRO Landkreditt Bank AS 20/25 FRN 980374181 Bond 10.08.2020 10.09.2025
NO0011123564 LANDK53 PRO Landkreditt Bank AS 21/26 FRN 980374181 Bond 12.10.2021 12.10.2026
NO0012433293 LANDK54 PRO Landkreditt Bank AS 22/PERP FRN C HYBRID 980374181 Tier 1 08.02.2022 09.02.2099
NO0012785700 LANDK57 PRO Landkreditt Bank AS 22/PERP FRN C HYBRID 980374181 Tier 1 21.12.2022 21.12.2099
NO0012939000 LANDK58 PRO Landkreditt Bank AS 23/28 FRN 980374181 Bond 08.06.2023 08.03.2028
NO0012834904 LANDK55 PRO Landkreditt Bank AS 23/33 FRN C SUB 980374181 Tier 2 09.02.2023 09.08.2033
NO0013097162 LANDK59 PRO Landkreditt Bank AS 23/34 FRN C SUB 980374181 Tier 2 14.12.2023 14.03.2034
NO0012883232 LANDK56 PRO Landkreditt Bank AS 23/PERP FRN C HYBRID 980374181 Tier 1 03.04.2023 03.04.2099
NO0013387282 LANDK61 PRO Landkreditt Bank AS 24/27 FRN 980374181 Bond 30.10.2024 29.10.2027
NO0013326066 LANDK60 PRO Landkreditt Bank AS 24/29 4,08% 980374181 Bond 05.09.2024 01.10.2029
NO0010860067 LANDBK17 PRO Landkreditt Bol AS 19/25 FRN STEP C COVD 996225127 Bond 01.08.2019 24.02.2025
NO0010887136 LANDBK19 PRO Landkreditt Bol AS 20/25 FRN STEP C COVD 996225127 Bond 03.07.2020 03.07.2025
NO0011033011 LANDBK20 PRO Landkreditt Bol AS 21/27 FRN STEP C COVD 996225127 Bond 23.06.2021 23.03.2027
NO0012904111 LANDBK21 PRO ESG Landkreditt Bol AS 23/28 FRN STEP C COVD 996225127 Bond 03.05.2023 03.05.2028
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NO0013310706 LANDBK22 PRO Landkreditt Boligkre AS 24/29 FRN C COVD 996225127 Bond 09.08.2024 09.08.2029
NO0012923251 LAFO02 PRO Landkreditt forsikrin AS 23/33 FRN C SUB 983784895 Tier 2 24.05.2023 24.05.2033
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XS2522688980 XS2522688980 Landsbankinn hf. 22/25 FRN NOK 471008-0280 Bond 18.08.2022 18.08.2025
XS2671007644 XS2671007644 Landsbankinn hf. 23/25 FRN NOK 471008-0280 Bond 21.08.2023 21.08.2025
XS2900360038 XS2900360038 Landsbankinn hf. 24/28 FRN NOK C 471008-0280 Tier 3 13.09.2024 13.09.2028
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XS2433243271 XS2433243271 Landwirtschaftliche Ren 22/27 1,876% NOK HRA30636 Bond 18.01.2022 18.06.2027
XS2100411417 Landwirtschaftliche Rent 20/25 1,75% NOK HRA30636 Bond 10.01.2020 10.01.2025
XS2100782155 XS2100782155 Landwirtschaftliche Rent 20/25 1,75% NOK HRA30636 Bond 10.01.2020 10.01.2025
XS2320031383 XS2320031383 Landwirtschaftliche Rent 21/26 1,25% NOK HRA30636 Bond 23.03.2021 23.03.2026
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NO0012473414 LAKO11 Larvik komm 22/25 FRN 918082956 Bond 16.03.2022 14.03.2025
NO0013020511 LAKO14 Larvik komm 23/25 FRN 918082956 Bond 20.09.2023 22.09.2025
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NO0012908708 LAKO13 Larvik komm 23/27 FRN 918082956 Bond 08.05.2023 10.05.2027
NO0013225730 LAKO15 Larvik komm 24/28 FRN 918082956 Bond 08.05.2024 08.05.2028
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NO0010715212 Latina Offshore 14/30 10,00% USD STEP C 48193 Bond 31.07.2014 31.01.2030
NO0013378810 Latina Offshore H NO0010715212 IN 151024 48193 Claim, Interest 15.10.2024 15.10.2099
NO0013378786 Latina Offshore L NO0010683832 IN 151024 47772 Claim, Interest 15.10.2024 15.10.2099
NO0013378794 Latina Offshore L NO0012864422 IN 151024 47772 Claim, Interest 15.10.2024 15.10.2099
NO0013378802 Latina Offshore L NO0012868803 IN 151024 47772 Claim, Interest 15.10.2024 15.10.2099
NO0012868803 NO0012868803 Latina Offshore Limit 23/28 10,00% USD C 47772 Bond 28.03.2023 13.04.2028
NO0012864422 NO0012864422 Latina Offshore Limite 23/28 7,00% USD C 47772 Bond 28.03.2023 13.04.2028
NO0010821028 LCN AXS Midco (NO) AS 18/26 4,40% 920355676 Bond 17.04.2018 17.04.2026
NO0010877863 BRA01 PRO Lea Bank ASA 20/30 FRN STEP C SUB 986144706 Tier 2 27.03.2020 27.03.2030
NO0011108276 BRA02 PRO Lea Bank ASA 21/31 FRN STEP C SUB 986144706 Tier 2 29.09.2021 29.09.2031
NO0011108953 BRA03 PRO Lea Bank ASA 21/PERP FRN STEP C HYBRID 986144706 Tier 1 29.09.2021 29.09.2099
NO0012750803 LEA02 PRO Lea Bank ASA 22/33 FRN STEP C SUB 986144706 Tier 2 09.11.2022 09.02.2033
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XS1233175998 XS1233175998 LeasePlan Corporation N 15/25 3,415% NOK 39037076 Bond 15.05.2015 07.05.2025
XS1228345903 XS1228345903 LeasePlan Corporation NV 15/25 3,17% NOK 39037076 Bond 07.05.2015 07.05.2025
XS2458567331 XS2458567331 LeasePlan Corporation NV 22/25 FRN NOK 39037076 Bond 18.03.2022 18.03.2025
XS2468135236 XS2468135236 LeasePlan Corporation NV 22/25 FRN NOK 39037076 Bond 11.04.2022 07.05.2025
XS2474263881 XS2474263881 LeasePlan Corporation NV 22/25 FRN NOK 39037076 Bond 29.04.2022 07.05.2025
XS2527551019 XS2527551019 LeasePlan Corporation NV 22/25 FRN NOK 39037076 Bond 30.08.2022 07.08.2025
XS2564110596 XS2564110596 LeasePlan Corporation NV 22/25 FRN NOK 39037076 Bond 07.12.2022 07.12.2025
XS2517848250 XS2517848250 LeasePlan Corporation NV 22/26 FRN NOK 39037076 Bond 08.08.2022 07.08.2026
XS2468523324 LeasePlan Corporation NV 22/27 FRN NOK 39037076 Bond 12.04.2022 07.02.2027
NO0013259762 Leka komm 24/27 FRN 944484574 Bond 13.06.2024 14.06.2027
NO0011097297 LSG01 ESG Lerøy Seafood Group ASA 21/26 FRN FLOOR 975350940 Bond 17.09.2021 17.09.2026
NO0011097305 LSG02 ESG Lerøy Seafood Group ASA 21/27 FRN FLOOR 975350940 Bond 17.09.2021 17.09.2027
NO0011097339 LSG03 ESG Lerøy Seafood Group ASA 21/31 3,35% 975350940 Bond 17.09.2021 17.09.2031
NO0012899287 LSG04 ESG Lerøy Seafood Group ASA 23/28 FRN FLOOR 975350940 Bond 26.04.2023 26.04.2028
NO0012899295 LSG05 ESG Lerøy Seafood Group ASA 23/30 5,10% 975350940 Bond 26.04.2023 26.04.2030
NO0012899303 LSG06 ESG Lerøy Seafood Group ASA 23/33 5,315% 975350940 Bond 26.04.2023 26.04.2033
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NO0012862764 LEKO08 Levanger komm 23/25 FRN 938587051 Bond 15.03.2023 17.09.2025
NO0012944679 LEKO09 Levanger komm 23/25 FRN 938587051 Bond 21.06.2023 18.06.2025
NO0013019091 LEKO11 Levanger komm 23/25 FRN 938587051 Bond 20.09.2023 19.03.2025
NO0013010397 LEKO10 Levanger komm 23/26 FRN 938587051 Bond 07.09.2023 17.06.2026
NO0013182204 LEKO12 Levanger komm 24/27 FRN 938587051 Bond 20.03.2024 17.03.2027
NO0013335505 LEKO14 Levanger komm 24/27 FRN 938587051 Bond 18.09.2024 15.09.2027
NO0013257501 LEKO13 Levanger komm 24/28 FRN 938587051 Bond 12.06.2024 21.06.2028
NO0011170847 LG5 Holding AS 22/25 3,75% C 925710822 Bond 15.02.2022 15.01.2025
NO0010818339 LIKO02 Lier komm 18/28 2,729% 857566122 Bond 06.03.2018 06.03.2028
NO0013378919 Lier komm 4,66% CERT 367 201025 857566122 CD 18.10.2024 20.10.2025
NO0013406488 Lier komm 4,78% CERT 364 141125 857566122 CD 15.11.2024 14.11.2025
NO0013320689 Lier komm 4,85% CERT 094 251124 857566122 CD 23.08.2024 25.11.2024
NO0013384073 Lier komm 4,99% CERT 094 270125 857566122 CD 25.10.2024 27.01.2025
NO0011198095 Lier Logistikkbygg AS 22/25 4,11% C 926420151 Bond 13.01.2022 13.01.2025
NO0011198103 Lier Logistikkbygg AS 22/25 FRN C 926420151 Bond 13.01.2022 13.01.2025
NO0013252452 Light AcquiCo GmbH 24/29 FRN EUR FLOOR C HRB 292325 Bond 29.08.2024 29.08.2029
NO0010914658 LHMKO04 Lillehammer komm 20/25 FRN 945578564 Bond 11.12.2020 11.12.2025
NO0013351114 LHMKO05 Lillehammer komm 24/28 FRN 945578564 Bond 23.09.2024 22.09.2028
NO0013391664 Lillehammer komm 4,639% CERT 030 051224 945578564 CD 05.11.2024 05.12.2024
NO0013361121 Lillehammer komm 4,735% CERT 095 100125 945578564 CD 07.10.2024 10.01.2025
NO0013320663 Lillehammer komm 4,754% CERT 094 251124 945578564 CD 23.08.2024 25.11.2024
NO0013334094 Lillehammer komm 4,765% CERT 181 110325 945578564 CD 11.09.2024 11.03.2025
NO0012884545 LILLKO08 Lillesand komm 23/25 FRN 964965404 Bond 03.04.2023 01.07.2025
NO0012943762 LILLKO09 Lillesand komm 23/25 FRN 964965404 Bond 15.06.2023 16.06.2025
NO0013023309 LILLKO10 Lillesand komm 23/25 FRN 964965404 Bond 20.09.2023 19.09.2025
NO0013177873 LILLKO11 Lillesand komm 24/26 FRN 964965404 Bond 08.03.2024 06.03.2026
NO0013401901 Lillesand komm 4,91% CERT 091 070225 964965404 CD 08.11.2024 07.02.2025
NO0013382150 Lillesand komm 4,92% CERT 092 220125 964965404 CD 22.10.2024 22.01.2025
NO0010886450 LISB20 PRO Lillesands Spb 20/25 FRN 937893655 Bond 23.06.2020 23.06.2025
NO0010893068 LISB21 PRO Lillesands Spb 20/25 FRN 937893655 Bond 09.09.2020 09.09.2025
NO0010925068 LISB23 PRO Lillesands Spb 21/26 FRN 937893655 Bond 08.02.2021 09.02.2026
NO0013077610 LISB25 PRO Lillesands Spb 23/26 FRN 937893655 Bond 27.11.2023 27.11.2026
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NO0012489394 LSKO08 Lillestrøm komm 22/26 FRN 820710592 Bond 01.04.2022 01.04.2026
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NO0012991340 LSKO13 Lillestrøm komm 23/26 FRN 820710592 Bond 21.08.2023 21.08.2026
NO0013008714 LSKO14 Lillestrøm komm 23/26 FRN 820710592 Bond 01.09.2023 01.06.2026
NO0013209254 LSKO16 Lillestrøm komm 24/26 FRN 820710592 Bond 12.04.2024 16.04.2026
NO0013257550 LSKO17 Lillestrøm komm 24/27 FRN 820710592 Bond 11.06.2024 11.06.2027
NO0013334813 LSKO18 Lillestrøm komm 24/28 3,863% 820710592 Bond 13.09.2024 13.09.2028
NO0013359984 Lillestrøm komm 4,675% CERT 319 180825 820710592 CD 03.10.2024 18.08.2025
NO0013324079 Lillestrøm komm 4,695% CERT 273 280525 820710592 CD 28.08.2024 28.05.2025
NO0013378885 Lillestrøm komm 4,79% CERT 139 060325 820710592 CD 18.10.2024 06.03.2025
NO0013262485 Lillestrøm komm 4,84% CERT 183 181224 820710592 CD 18.06.2024 18.12.2024
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XS1234804570 XS1234804570 Lloyds Bank plc 15/25 3,1025% NOK 00002065 Bond 27.05.2015 27.05.2025
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NO0013386698 Malvik komm 4,99% CERT 092 290125 971035560 CD 29.10.2024 29.01.2025
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NO0013023424 Marker Spb 23/26 FRN 937884672 Bond 21.09.2023 21.09.2026
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NO0012500893 Merkur MidCo I AS 22/26 4,86% C 927847140 Bond 29.04.2022 30.11.2026
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XS1327148190 XS1327148190 Metropolitan Life Global 15/25 2,92% NOK 3530332 Bond 03.12.2015 03.12.2025
NO0013320713 Midt-Telemark kom 4,795% CERT 304 260625 920297293 CD 26.08.2024 26.06.2025
NO0013177212 Midt-Telemark kom 5,025% CERT 364 070325 920297293 CD 08.03.2024 07.03.2025
NO0012483215 MIDTE01 Midt-Telemark komm 22/29 3,05% 920297293 Bond 24.03.2022 23.03.2029
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NO0012703513 MOLKO10 Molde komm 22/27 FRN 921221967 Bond 21.09.2022 15.09.2027
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NO0013409821 Molde komm 4,973% CERT 092 200225 921221967 CD 20.11.2024 20.02.2025
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XS1414122645 XS1414122645 Morgan Stanley & Co. Plc 22/32 4,00% NOK 02068222 Bond 29.04.2022 29.04.2032
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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
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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
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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
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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
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
NO0010882558 NODA90 Nordea Bank Abp 20/25 FRN 2858394-9 Bond 19.05.2020 19.05.2025
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NO0011161614 NO0011161614 Nordea Bank Abp 21/26 2,35% 2858394-9 Tier 3 01.12.2021 01.12.2026
NO0011162190 NO0011162190 Nordea Bank Abp 21/29 2,52% 2858394-9 Tier 3 03.12.2021 03.12.2029
NO0011145179 NO0011145179 Nordea Bank Abp 21/31 2,62% 2858394-9 Tier 3 05.11.2021 05.11.2031
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
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
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
NO0013405712 NO0013405712 Nordea Bank Abp 24/35 FRN C SUB 2858394-9 Tier 2 21.11.2024 21.05.2035
XS2898090746 XS2898090746 Nordea Bank Abp 24/PERP FRN NOK C HYBRID 2858394-9 Tier 1 06.09.2024 06.09.2099
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NO0012441643 NOKR69 Nordea Eiendomskre AS 22/30 2,45% C COVD 971227222 Bond 15.02.2022 15.02.2030
NO0012732017 Nordea Eiendomskre AS 22/37 4,00% C COVD 971227222 Bond 28.10.2022 28.10.2037
NO0012982729 Nordea Eiendomskre AS 23/32 4,61% C COVD 971227222 Bond 10.08.2023 10.08.2032
NO0012838277 Nordea Eiendomskre AS 23/35 3,39% C COVD 971227222 Bond 14.02.2023 14.02.2035
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NO0010812084 Nordea Eiendomskredi AS 17/43 ADJ C COVD 971227222 Bond 11.12.2017 17.06.2043
NO0010830003 NOKR79 Nordea Eiendomskredi AS 18/25 ADJ C COVD 971227222 Bond 13.08.2018 13.08.2025
NO0010821986 Nordea Eiendomskredi AS 18/48 ADJ C COVD 971227222 Bond 04.05.2018 04.05.2048
NO0010873334 NOKR64 Nordea Eiendomskredi AS 20/25 FRN C COVD 971227222 Bond 22.01.2020 19.03.2025
NO0010893282 NOKR66 Nordea Eiendomskredi AS 20/25 FRN C COVD 971227222 Bond 16.09.2020 16.09.2025
NO0010981301 NOKR67 Nordea Eiendomskredi AS 21/26 FRN C COVD 971227222 Bond 21.04.2021 18.03.2026
NO0011151771 NOKR68 ESG Nordea Eiendomskredi AS 21/26 FRN C COVD 971227222 Bond 17.11.2021 17.09.2026
NO0012513532 NOKR70 Nordea Eiendomskredi AS 22/27 FRN C COVD 971227222 Bond 03.05.2022 17.03.2027
NO0012757675 NOKR82 Nordea Eiendomskredi AS 22/27 FRN C COVD 971227222 Bond 23.11.2022 23.08.2027
NO0012959636 NOKR73 Nordea Eiendomskredi AS 23/25 FRN C COVD 971227222 Bond 14.07.2023 14.07.2025
NO0012829763 NOKR72 Nordea Eiendomskredi AS 23/28 FRN C COVD 971227222 Bond 02.02.2023 02.02.2028
NO0013072991 NOKR74 ESG Nordea Eiendomskredi AS 23/28 FRN C COVD 971227222 Bond 22.11.2023 22.11.2028
NO0013134684 NOKR75 Nordea Eiendomskredi AS 24/29 FRN C COVD 971227222 Bond 23.01.2024 23.02.2029
NO0013334169 NOKR76 Nordea Eiendomskredi AS 24/29 FRN C COVD 971227222 Bond 17.09.2024 17.09.2029
NO0013389460 NOKR77 ESG Nordea Eiendomskredi AS 24/29 FRN C COVD 971227222 Bond 07.11.2024 07.11.2029
NO0010892102 Nordic Corporat ASA 20/PERP FRN C HYBRID 920232701 Tier 1 09.09.2020 09.09.2099
NO0011125551 Nordic Corporat ASA 21/PERP FRN C HYBRID 920232701 Tier 1 14.10.2021 14.10.2099
NO0013010447 Nordic Corporat ASA 23/PERP FRN C HYBRID 920232701 Tier 1 12.09.2023 12.09.2099
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NO0013319376 Nordic Corporate Ban ASA 24/35 ADJ C SUB 920232701 Tier 2 12.09.2024 12.06.2035
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XS1185971923 XS1185971923 Nordic Investment Bank 15/25 1,50% NOK 1956870-4 Bond 10.02.2015 13.03.2025
XS1555549085 XS1555549085 Nordic Investment Bank 17/37 2,136% NOK 1956870-4 Bond 02.02.2017 02.02.2037
XS1824451428 XS1824451428 Nordic Investment Bank 18/38 2,50% NOK 1956870-4 Bond 01.06.2018 01.06.2038
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
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
XS2524004350 XS2524004350 Nordic Investment Bank 22/27 3,00% NOK 1956870-4 Bond 23.08.2022 23.08.2027
XS2461770070 XS2461770070 Nordic Investment Bank 22/27 FRN NOK 1956870-4 Bond 24.03.2022 24.03.2027
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
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
XS2587266854 Nordic Investment Bank 23/35 3,125% NOK 1956870-4 Bond 16.02.2023 16.02.2035
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
XS2765569913 EMTN 1349 Nordic Investment Bank 24/35 3,775% NOK 1956870-4 Bond 13.02.2024 13.02.2035
XS2909825700 EMTN 1400 Nordic Investment Bank 24/36 3,73% NOK 1956870-4 Bond 30.09.2024 30.09.2036
NO0013072462 NOD01 Nordic Semiconductor ASA 23/28 FRN FLOOR 966011726 Bond 27.11.2023 27.11.2028
NO0013361113 Nordkapp komm 4,92% CERT 123 040225 938469415 CD 04.10.2024 04.02.2025
NO0013320739 NORKR02 PRO ESG Nordkraft AS 24/30 FRN 986947884 Bond 28.08.2024 28.02.2030
NO0013320747 NORKR01 PRO ESG Nordkraft AS 24/31 4,44% 986947884 Bond 28.08.2024 28.08.2031
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NO0013355255 A4DE1U Nordwest Industrie 24/28 FRN EUR FLOOR C HRB 73649 Bond 06.11.2024 06.11.2028
NO0010869670 NORG124 ESG NorgesGruppen ASA 19/25 FRN 819731322 Bond 05.12.2019 05.03.2025
NO0010881337 NORG126 ESG NorgesGruppen ASA 20/26 FRN 819731322 Bond 30.04.2020 08.09.2026
NO0010996499 NORG127 ESG NorgesGruppen ASA 21/27 FRN 819731322 Bond 10.05.2021 10.05.2027
NO0013058552 NORG131 ESG NorgesGruppen ASA 23/28 FRN 819731322 Bond 31.10.2023 31.10.2028
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NO0011095507 ORK88 Orkla ASA 21/29 2,20% 910747711 Bond 16.09.2021 16.05.2029
NO0011013716 ORK86 ESG Orkla ASA 21/31 2,4425% 910747711 Bond 04.06.2021 04.06.2031
NO0012862772 ORK89 Orkla ASA 23/28 FRN 910747711 Bond 14.03.2023 14.01.2028
NO0012862780 ORK90 Orkla ASA 23/30 4,405% 910747711 Bond 14.03.2023 14.03.2030
NO0013364943 Orkla ASA 4,86% CERT 070 201224 910747711 CD 11.10.2024 20.12.2024
NO0010872807 OSPA31 PRO Orkla Spb 20/25 FRN 947278770 Bond 15.01.2020 15.01.2025
NO0010893209 OSPA32 PRO Orkla Spb 20/25 FRN 947278770 Bond 11.09.2020 11.09.2025
NO0010872849 OSPA30 PRO Orkla Spb 20/26 FRN 947278770 Bond 10.01.2020 09.01.2026
NO0011094708 OSPA37 PRO Orkla Spb 21/24 FRN 947278770 Bond 10.09.2021 10.12.2024
NO0011008336 OSPA35 PRO Orkla Spb 21/25 FRN 947278770 Bond 27.05.2021 27.05.2025
NO0010917784 OSPA36 PRO Orkla Spb 21/26 FRN 947278770 Bond 15.01.2021 15.01.2026
NO0010960396 OSPA34 PRO Orkla Spb 21/27 FRN 947278770 Bond 24.03.2021 24.03.2027
NO0011204232 OSPA38 PRO Orkla Spb 22/26 FRN 947278770 Bond 17.01.2022 17.04.2026
NO0012559337 OSPA39 PRO Orkla Spb 22/26 FRN 947278770 Bond 22.06.2022 22.09.2026
NO0012780099 OSPA40 PRO Orkla Spb 22/26 FRN 947278770 Bond 09.12.2022 09.12.2026
NO0012816224 OSPA41 PRO Orkla Spb 23/28 FRN 947278770 Bond 18.01.2023 18.01.2028
NO0012898040 OSPA42 PRO Orkla Spb 23/28 FRN 947278770 Bond 19.04.2023 19.04.2028
NO0012928136 OSPA43 PRO Orkla Spb 23/33 FRN C SUB 947278770 Tier 2 01.06.2023 01.09.2033
NO0013209965 OSPA44 PRO Orkla Spb 24/29 FRN 947278770 Bond 11.04.2024 11.04.2029
NO0013320101 OSPA45 PRO Orkla Spb 24/29 FRN 947278770 Bond 23.08.2024 23.08.2029
NO0013387829 OSPA46 PRO Orkla Spb 24/30 FRN 947278770 Bond 04.11.2024 04.02.2030
NO0013335554 Orkland komm 4,748% CERT 091 131224 921233418 CD 13.09.2024 13.12.2024
NO0013325415 Orkland komm 4,756% CERT 091 291124 921233418 CD 30.08.2024 29.11.2024
NO0013320705 Orkland komm 4,779% CERT 091 221124 921233418 CD 23.08.2024 22.11.2024
NO0013401919 Orkland komm 4,892% CERT 091 070225 921233418 CD 08.11.2024 07.02.2025
NO0010838584 Oro Negro Drillin NO0010700982 IN 240118 201225610H Claim, Interest 24.01.2018 24.01.2099
NO0010838592 Oro Negro Drillin NO0010700982 IN 240418 201225610H Claim, Interest 24.04.2018 24.04.2099
NO0010838634 Oro Negro Drillin NO0010700982 IN 240718 201225610H Claim, Interest 24.07.2018 24.07.2099
NO0010838550 Oro Negro Drillin NO0010700982 IN 241017 201225610H Claim, Interest 24.10.2017 24.10.2099
NO0010843022 Oro Negro Drillin NO0010700982 IN 241018 201225610H Claim, Interest 24.10.2018 24.10.2099
NO0010700982 NO0010700982 Oro Negro Drilling Pte. Lt 14/25 ADJ USD 201225610H Bond 24.01.2014 24.01.2025
NO0010841505 ORO SG Pte. Ltd. 19/25 12,00% USD C 201832769R Bond 15.01.2019 20.12.2025
NO0010691116 OSA Goliath Pte. Ltd. 13/18 12,00% USD 201320873H Bond 09.10.2013 09.10.2018
NO0010752124 OSLKO33 Oslo komm 15/25 2,60% 958935420 Bond 12.11.2015 12.11.2025
NO0010731011 OSLKO32 Oslo komm 15/30 2,40% 958935420 Bond 13.02.2015 13.02.2030
NO0010811235 OSLKO38 Oslo komm 17/27 2,25% 958935420 Bond 07.12.2017 07.06.2027
NO0010811227 OSLKO37 Oslo komm 17/27 2,30% 958935420 Bond 01.12.2017 01.12.2027
NO0010838881 OSLKO40 Oslo komm 18/26 FRN 958935420 Bond 06.12.2018 06.05.2026
NO0010838873 OSLKO39 Oslo komm 18/28 2,75% 958935420 Bond 30.11.2018 30.11.2028
NO0010866650 OSLKO41 Oslo komm 19/29 2,15% 958935420 Bond 17.10.2019 17.10.2029
NO0010869225 OSLKO43 Oslo komm 19/34 2,40% 958935420 Bond 21.11.2019 21.11.2034
NO0010912835 OSLKO46 Oslo komm 20/26 1,20% 958935420 Bond 10.12.2020 10.12.2026
NO0010907033 OSLKO44 Oslo komm 20/28 1,32% 958935420 Bond 16.11.2020 16.02.2028
NO0010907892 OSLKO45 Oslo komm 20/30 1,50% 958935420 Bond 27.11.2020 27.11.2030
NO0011171498 OSLKO50 Oslo komm 21/26 FRN 958935420 Bond 09.12.2021 09.06.2026
NO0011155905 OSLKO49 Oslo komm 21/29 2,17% 958935420 Bond 18.11.2021 18.05.2029
NO0011136020 OSLKO47 Oslo komm 21/30 2,25% 958935420 Bond 22.10.2021 23.04.2030
NO0011146367 OSLKO48 Oslo komm 21/31 2,22% 958935420 Bond 04.11.2021 04.11.2031
NO0012713538 OSLKO51 Oslo komm 22/27 FRN 958935420 Bond 29.09.2022 29.09.2027
NO0012752049 OSLKO54 Oslo komm 22/28 4,26% 958935420 Bond 10.11.2022 10.05.2028
NO0012726589 OSLKO52 Oslo komm 22/29 4,45% 958935420 Bond 13.10.2022 13.04.2029
NO0012733429 OSLKO53 Oslo komm 22/32 4,45% 958935420 Bond 20.10.2022 20.10.2032
NO0013052928 OSLKO57 Oslo komm 23/28 4,64% 958935420 Bond 19.10.2023 19.10.2028
NO0013068114 OSLKO58 Oslo komm 23/31 4,45% 958935420 Bond 13.11.2023 13.02.2031
NO0012818055 OSLKO56 Oslo komm 23/32 3,50% 958935420 Bond 19.01.2023 19.01.2032
NO0012811837 OSLKO55 Oslo komm 23/33 3,70% 958935420 Bond 12.01.2023 12.01.2033
NO0013378877 OSLKO63 Oslo komm 24/26 FRN 958935420 Bond 17.10.2024 17.08.2026
NO0013389494 OSLKO62 Oslo komm 24/27 FRN 958935420 Bond 04.11.2024 04.11.2027
NO0013120485 OSLKO59 Oslo komm 24/29 3,99% 958935420 Bond 11.01.2024 11.06.2029
NO0013135327 OSLKO60 Oslo komm 24/34 4,18% 958935420 Bond 22.01.2024 22.05.2034
NO0013364414 OSLKO61 Oslo komm 24/34 4,21% 958935420 Bond 10.10.2024 10.10.2034
NO0010752181 Oslo Kontoreiendom II Hol AS 15/29 4,15% 914430879 Bond 16.12.2015 16.12.2029
NO0010805864 Oslo Sentrumsholding AS 17/27 3,85% 818052332 Bond 28.09.2017 31.08.2027
NO0010891534 FOSB20 PRO Oslofjord Spb 20/25 FRN 985750378 Bond 27.08.2020 27.08.2025
NO0010934771 FOSB21 PRO Oslofjord Spb 21/25 FRN 985750378 Bond 18.02.2021 18.02.2025
NO0011157349 FOSB23 PRO Oslofjord Spb 21/26 FRN 985750378 Bond 25.11.2021 25.11.2026
NO0011141541 FOSB22 PRO Oslofjord Spb 21/31 FRN STEP C SUB 985750378 Tier 2 29.10.2021 29.10.2031
NO0012489410 FOSB25 PRO Oslofjord Spb 22/25 FRN 985750378 Bond 04.04.2022 04.04.2025
NO0012672783 FOSB26 PRO Oslofjord Spb 22/PERP FRN C HYBRID 985750378 Tier 1 02.09.2022 02.09.2099
NO0012897968 FOSB27 PRO Oslofjord Spb 23/26 FRN 985750378 Bond 20.04.2023 20.04.2026
NO0013051532 FOSB28 PRO Oslofjord Spb 23/27 FRN 985750378 Bond 17.10.2023 03.02.2027
NO0013132175 FOSB29 PRO Oslofjord Spb 24/28 FRN 985750378 Bond 16.01.2024 16.08.2028
NO0013214858 FOSB30 PRO Oslofjord Spb 24/29 FRN 985750378 Bond 23.04.2024 23.04.2029
NO0013219469 FOSB31 PRO Oslofjord Spb 24/29 FRN 985750378 Bond 24.04.2024 24.08.2029
NO0013382200 FOSB32 PRO Oslofjord Spb 24/29 FRN 985750378 Bond 25.10.2024 25.10.2029
NO0012855545 OSTKO03 Osterøy komm 23/25 FRN 864338712 Bond 01.03.2023 03.03.2025
NO0013333468 Osterøy komm 4,705% CERT 240 090525 864338712 CD 11.09.2024 09.05.2025
NO0010665367 Otium AS 12/17 FRN STEP C 945725540 Bond 20.12.2012 17.07.2017
NO0010837347 Otium AS NO0010665367 IN 170717 945725540 Claim, Interest 17.07.2017 17.07.2099
NO0010837354 Otium AS NO0010665367 RD 170717 945725540 Claim, Redemption 17.07.2017 17.07.2099
NO0010815442 OXE 001 OXE Marine AB 18/25 10,75% STEP C 556889-7226 Bond 15.02.2018 15.02.2025
NO0013163386 OXE Marine AB NO0010815442 IN 150224 556889-7226 Claim, Interest 15.02.2024 15.02.2099
NO0012990557 OXE Marine AB NO0010815442 IN 150823 556889-7226 Claim, Interest 15.08.2023 15.08.2099
NO0010605728 PA Resources AB 11/17 12,25% STEP 556488-2180 Bond 05.04.2011 27.12.2017
NO0010838162 PA Resources AB NO0010605728 RD 270118 556488-2180 Claim, Redemption 29.01.2018 27.01.2099
XS2616082942 XS2616082942 Pacific Life Global Fun 23/35 4,488% NOK 7952717 Bond 27.04.2023 27.04.2035
NO0012535816 PANE02 PRO Pandion Energy AS 22/26 9,75% USD C 918175334 Bond 03.06.2022 03.06.2026
NO0010104581 Paragon Offs AS 01/14 7,00% USD SUB CONV 877241602 Convertible 02.07.2001 01.08.2014
NO0010837487 Paragon Offsho AS NO0010104581 IN 021010 877241602 Claim, Interest 04.10.2010 02.10.2099
NO0010837495 Paragon Offsho AS NO0010120934 IN 021010 877241602 Claim, Interest 04.10.2010 02.10.2099
NO0013256099 Paratus Energy Ser Ltd 24/29 9,50% USD C 53451 Bond 27.06.2024 27.06.2029
NO0010892987 PARB37 PRO Pareto Bank ASA 20/25 FRN 990906475 Bond 10.09.2020 10.09.2025
NO0010989155 PARB38 PRO Pareto Bank ASA 21/26 FRN 990906475 Bond 29.04.2021 29.04.2026
NO0011042244 PARB40 PRO Pareto Bank ASA 21/31 FRN C SUB 990906475 Tier 2 06.07.2021 22.07.2031
NO0012424144 PARB42 PRO Pareto Bank ASA 22/25 FRN 990906475 Bond 27.01.2022 27.01.2025
NO0012424169 PARB43 PRO Pareto Bank ASA 22/26 2,70% 990906475 Bond 27.01.2022 12.08.2026
NO0012424151 PARB44 PRO Pareto Bank ASA 22/27 FRN 990906475 Bond 27.01.2022 03.02.2027
NO0012738626 PARB47 PRO Pareto Bank ASA 22/27 FRN 990906475 Bond 28.10.2022 28.10.2027
NO0012478413 PARB46 PRO Pareto Bank ASA 22/32 FRN C SUB 990906475 Tier 2 22.03.2022 22.06.2032
NO0012478397 PARB45 PRO Pareto Bank ASA 22/PERP FRN C HYBRID 990906475 Tier 1 22.03.2022 23.03.2099
NO0012864489 PARB49 PRO Pareto Bank ASA 23/28 FRN 990906475 Bond 16.03.2023 16.05.2028
NO0012986621 PARB51 PRO Pareto Bank ASA 23/28 FRN 990906475 Bond 16.08.2023 16.08.2028
NO0012916826 PARB50 PRO Pareto Bank ASA 23/33 FRN C SUB 990906475 Tier 2 16.05.2023 16.08.2033
NO0012862681 PARB48 PRO Pareto Bank ASA 23/PERP FRN C HYBRID 990906475 Tier 1 13.03.2023 13.03.2099
NO0013143396 PARB52 PRO Pareto Bank ASA 24/29 FRN 990906475 Bond 05.02.2024 05.02.2029
NO0013261743 PARB55 PRO Pareto Bank ASA 24/29 FRN 990906475 Bond 19.06.2024 19.06.2029
NO0013387316 PARB56 PRO Pareto Bank ASA 24/30 FRN 990906475 Bond 04.11.2024 04.02.2030
NO0013228528 PARB54 PRO Pareto Bank ASA 24/34 FRN C SUB 990906475 Tier 2 14.05.2024 14.11.2034
NO0013220947 PARB53 PRO Pareto Bank ASA 24/PERP FRN C HYBRID 990906475 Tier 1 06.05.2024 06.05.2099
NO0013387860 Pearl Petroleum Compa 24/28 13,00% USD C 1518447 Bond 14.11.2024 15.05.2028
NO0010907785 PLH01 Pelagia Holding AS 20/25 FRN FLOOR C 912040305 Bond 08.12.2020 08.12.2025
NO0013176552 PLH02 Pelagia Holding AS 24/29 FRN FLOOR C 912040305 Bond 12.03.2024 12.03.2029
NO0011173536 PEMBR01 PRO Pembroke Olive Downs 21/28 10,00% USD C ACN 611 674 376 Bond 21.12.2021 21.12.2028
NO0010799570 Persveien 26 AS 18/25 4,00% 918052151 Bond 14.06.2018 13.06.2025
NO0012873670 PGEOS01 Petroleum Geo-Serv AS 23/27 13,50% USD C 921675801 Bond 31.03.2023 31.03.2027
NO0010607435 Polarcus Limi 11/25 2,875% USD STEP CONV 201867 Convertible 27.04.2011 03.01.2025
NO0010757263 Polarcus Limite 16/25 0% USD STEP C CONV 201867 Convertible 07.03.2016 01.01.2025
NO0010680150 PLCS02 Polarcus Limited 13/25 0% USD STEP C 201867 Bond 07.06.2013 01.01.2025
NO0010714389 PLCS03 Polarcus Limited 14/25 FRN STEP C 201867 Bond 08.07.2014 01.01.2025
NO0011063240 Polarcus Limited NO0010607435 IN 270721 201867 Claim, Interest 27.07.2021 27.07.2099
NO0011141566 Polarcus Limited NO0010607435 IN 271021 201867 Claim, Interest 27.10.2021 27.10.2099
NO0011063257 Polarcus Limited NO0010607435 RD 270721 201867 Claim, Redemption 27.07.2021 27.07.2099
NO0011141558 Polarcus Limited NO0010607435 RD 271021 201867 Claim, Redemption 27.10.2021 27.10.2099
NO0011045098 Polarcus Limited NO0010757263 IN 010721 201867 Claim, Interest 01.07.2021 01.07.2099
NO0012541350 Polaris Midco AS 22/25 5,54% 928186857 Bond 30.06.2022 30.06.2025
NO0012541327 Polaris Midco AS 22/25 FRN 928186857 Bond 30.06.2022 30.06.2025
NO0010367535 Porsgrunn komm 07/27 5,06% 939991034 Bond 21.06.2007 21.06.2027
NO0010860935 POKO05 Porsgrunn komm 19/29 1,934% 939991034 Bond 21.08.2019 21.08.2029
NO0012740283 POKO10 Porsgrunn komm 22/26 FRN 939991034 Bond 01.11.2022 30.04.2026
NO0013233148 POKO11 Porsgrunn komm 24/26 FRN 939991034 Bond 16.05.2024 15.05.2026
NO0013328609 Porsgrunn komm 4,527% CERT 365 030925 939991034 CD 03.09.2024 03.09.2025
NO0013328682 Porsgrunn komm 4,745% CERT 091 031224 939991034 CD 03.09.2024 03.12.2024
NO0010872484 Portalen Holding AS 20/26 4,00% STEP C 921580665 Bond 06.03.2020 06.03.2026
NO0011157281 POSTEN08 ESG Posten Bring AS 21/26 2,125% 984661185 Bond 25.11.2021 25.11.2026
NO0011157299 POSTEN09 ESG Posten Bring AS 21/26 FRN 984661185 Bond 25.11.2021 25.11.2026
NO0012841818 POSTEN10 ESG Posten Bring AS 23/26 FRN 984661185 Bond 16.02.2023 16.02.2026
NO0013019786 POSTEN13 ESG Posten Bring AS 23/28 FRN 984661185 Bond 22.09.2023 22.09.2028
NO0012897398 POSTEN11 ESG Posten Bring AS 23/30 4,22% 984661185 Bond 24.04.2023 24.04.2030
NO0013019844 POSTEN12 ESG Posten Bring AS 23/31 5,134% 984661185 Bond 22.09.2023 22.09.2031
NO0013363812 Posten Bring AS 24/31 4,542% 984661185 Bond 16.10.2024 16.10.2031
NO0013363804 Posten Bring AS 24/31 FRN 984661185 Bond 16.10.2024 16.10.2031
NO0013320036 Posten Bring AS 4,97% CERT 183 210225 984661185 CD 22.08.2024 21.02.2025
NO0013260356 PRE Kikkut Terrasse AS 24/26 16,50% C 998177979 Bond 11.07.2024 15.01.2026
NO0013388413 PRE: AGILYX ASA 24/27 13,50% USD C 923974709 Bond 29.11.2024 29.11.2027
NO0013387910 PRE: Austevoll komm 4,71% CERT 365 311025 941139787 CD 31.10.2024 31.10.2025
NO0013409730 PRE: Bane NOR Eiendo AS 5,13% CERT 092 190225 980374505 CD 19.11.2024 19.02.2025
NO0013241968 PRE: Bayport Manag Ltd NO0012496688 IN 200524 54787/C1/GBL Claim, Interest 21.05.2024 20.05.2099
NO0013241901 PRE: Bayport Manag Ltd NO0012496696 IN 200524 54787/C1/GBL Claim, Interest 21.05.2024 20.05.2099
NO0013254862 PRE: Bergen komm 4,855% CERT 183 051224 964338531 CD 05.06.2024 05.12.2024
NO0013406538 PRE: Bjerkreim komm 4,99% CERT 091 140225 970490361 CD 15.11.2024 14.02.2025
NO0013410464 PRE: Bjørnafjorden kom 4,915% CERT 181 210525 844458312 CD 21.11.2024 21.05.2025
NO0013410506 PRE: Brage Finans AS 4,95% CERT 092 210225 995610760 CD 21.11.2024 21.02.2025
NO0013175968 PRE: Brage Finans AS FRN CERT 365 070325 995610760 CD 07.03.2024 07.03.2025
NO0012945320 PRE: CapRate Campus AB NO0010808090 RD 150623 556934-3931 Claim, Redemption 15.06.2023 15.06.2099
XS2899127547 PRE: DNB Bank ASA 0% AUD CERT 091 061224 984851006 CD 06.09.2024 06.12.2024
XS2940312783 PRE: DNB Bank ASA 0% AUD CERT 118 100325 984851006 CD 12.11.2024 10.03.2025
XS2899139476 PRE: DNB Bank ASA 0% CERT 091 061224 984851006 CD 06.09.2024 06.12.2024
XS2887819311 PRE: DNB Bank ASA 0% CERT 092 211124 984851006 CD 21.08.2024 21.11.2024
XS2894872477 PRE: DNB Bank ASA 0% CERT 092 291124 984851006 CD 29.08.2024 29.11.2024
XS2947867169 PRE: DNB Bank ASA 0% CERT 120 210325 984851006 CD 21.11.2024 21.03.2025
XS2875216181 PRE: DNB Bank ASA 0% CERT 122 021224 984851006 CD 02.08.2024 02.12.2024
XS2867956331 PRE: DNB Bank ASA 0% CERT 123 221124 984851006 CD 22.07.2024 22.11.2024
XS2935896584 PRE: DNB Bank ASA 0% CERT 151 040425 984851006 CD 04.11.2024 04.04.2025
XS2928526909 PRE: DNB Bank ASA 0% CERT 152 240325 984851006 CD 23.10.2024 24.03.2025
XS2927495031 PRE: DNB Bank ASA 0% CERT 161 010425 984851006 CD 22.10.2024 01.04.2025
XS2945652134 PRE: DNB Bank ASA 0% CERT 181 190525 984851006 CD 19.11.2024 19.05.2025
XS2948429183 PRE: DNB Bank ASA 0% CERT 181 220525 984851006 CD 22.11.2024 22.05.2025
XS2829700405 PRE: DNB Bank ASA 0% CERT 186 251124 984851006 CD 23.05.2024 25.11.2024
XS2912274144 PRE: DNB Bank ASA 0% CERT 212 300425 984851006 CD 30.09.2024 30.04.2025
XS2816019462 PRE: DNB Bank ASA 0% CERT 272 290125 984851006 CD 02.05.2024 29.01.2025
XS2791961472 PRE: DNB Bank ASA 0% CERT 358 130325 984851006 CD 20.03.2024 13.03.2025
XS2936641377 PRE: DNB Bank ASA 0% CERT 363 051125 984851006 CD 07.11.2024 05.11.2025
XS2805247512 PRE: DNB Bank ASA 0% CERT 364 140425 984851006 CD 15.04.2024 14.04.2025
XS2887836679 PRE: DNB Bank ASA 0% CERT 364 200825 984851006 CD 21.08.2024 20.08.2025
XS2727574704 PRE: DNB Bank ASA 0% CERT 364 251124 984851006 CD 27.11.2023 25.11.2024
XS2944914733 PRE: DNB Bank ASA 0% CHF CERT 092 180225 984851006 CD 18.11.2024 18.02.2025
XS2924113918 PRE: DNB Bank ASA 0% CNY CERT 061 171224 984851006 CD 17.10.2024 17.12.2024
XS2947950908 PRE: DNB Bank ASA 0% CNY CERT 061 210125 984851006 CD 21.11.2024 21.01.2025
XS2947954561 PRE: DNB Bank ASA 0% CNY CERT 061 210125 984851006 CD 21.11.2024 21.01.2025
XS2920474447 PRE: DNB Bank ASA 0% CNY CERT 092 150125 984851006 CD 15.10.2024 15.01.2025
XS2895617657 PRE: DNB Bank ASA 0% GBP CERT 091 291124 984851006 CD 30.08.2024 29.11.2024
XS2922057323 PRE: DNB Bank ASA 0% GBP CERT 092 160125 984851006 CD 16.10.2024 16.01.2025
XS2944930341 PRE: DNB Bank ASA 0% GBP CERT 092 180225 984851006 CD 18.11.2024 18.02.2025
XS2921417775 PRE: DNB Bank ASA 0% GBP CERT 151 140325 984851006 CD 14.10.2024 14.03.2025
XS2889875485 PRE: DNB Bank ASA 0% GBP CERT 154 240125 984851006 CD 23.08.2024 24.01.2025
XS2927571740 PRE: DNB Bank ASA 0% GBP CERT 161 010425 984851006 CD 22.10.2024 01.04.2025
XS2924827368 PRE: DNB Bank ASA 0% GBP CERT 165 010425 984851006 CD 18.10.2024 01.04.2025
XS2924835627 PRE: DNB Bank ASA 0% GBP CERT 165 010425 984851006 CD 18.10.2024 01.04.2025
XS2922040436 PRE: DNB Bank ASA 0% GBP CERT 168 010425 984851006 CD 15.10.2024 01.04.2025
XS2943599154 PRE: DNB Bank ASA 0% GBP CERT 181 150525 984851006 CD 15.11.2024 15.05.2025
XS2943600770 PRE: DNB Bank ASA 0% GBP CERT 181 150525 984851006 CD 15.11.2024 15.05.2025
XS2886880447 PRE: DNB Bank ASA 0% GBP CERT 184 200225 984851006 CD 20.08.2024 20.02.2025
XS2887670920 PRE: DNB Bank ASA 0% GBP CERT 184 210225 984851006 CD 21.08.2024 21.02.2025
XS2889878158 PRE: DNB Bank ASA 0% GBP CERT 185 240225 984851006 CD 23.08.2024 24.02.2025
XS2805236747 PRE: DNB Bank ASA 0% GBP CERT 361 110425 984851006 CD 15.04.2024 11.04.2025
XS2736435327 PRE: DNB Bank ASA 0% GBP CERT 364 131224 984851006 CD 15.12.2023 13.12.2024
XS2805270928 PRE: DNB Bank ASA 0% GBP CERT 364 140425 984851006 CD 15.04.2024 14.04.2025
XS2943590526 PRE: DNB Bank ASA 0% GBP CERT 364 141125 984851006 CD 15.11.2024 14.11.2025
XS2886892293 PRE: DNB Bank ASA 0% GBP CERT 364 190825 984851006 CD 20.08.2024 19.08.2025
XS2830968157 PRE: DNB Bank ASA 0% GBP CERT 364 230525 984851006 CD 24.05.2024 23.05.2025
XS2832213263 PRE: DNB Bank ASA 0% GBP CERT 364 280525 984851006 CD 29.05.2024 28.05.2025
XS2933451986 PRE: DNB Bank ASA 0% PLN CERT 092 040225 984851006 CD 04.11.2024 04.02.2025
XS2900270047 PRE: DNB Bank ASA 0% SGD CERT 122 090125 984851006 CD 09.09.2024 09.01.2025
XS2929421506 PRE: DNB Bank ASA 0% USD CERT 031 251124 984851006 CD 25.10.2024 25.11.2024
XS2929414394 PRE: DNB Bank ASA 0% USD CERT 035 291124 984851006 CD 25.10.2024 29.11.2024
XS2929486624 PRE: DNB Bank ASA 0% USD CERT 035 291124 984851006 CD 25.10.2024 29.11.2024
XS2937132434 PRE: DNB Bank ASA 0% USD CERT 092 070225 984851006 CD 07.11.2024 07.02.2025
XS2930102772 PRE: DNB Bank ASA 0% USD CERT 092 280125 984851006 CD 28.10.2024 28.01.2025
XS2943611389 PRE: DNB Bank ASA 0% USD CERT 095 180225 984851006 CD 15.11.2024 18.02.2025
XS2942464285 PRE: DNB Bank ASA 0% USD CERT 120 140325 984851006 CD 14.11.2024 14.03.2025
XS2920591596 PRE: DNB Bank ASA 0% USD CERT 173 020425 984851006 CD 11.10.2024 02.04.2025
XS2936646251 PRE: DNB Bank ASA 0% USD CERT 181 060525 984851006 CD 06.11.2024 06.05.2025
XS2948443846 PRE: DNB Bank ASA 0% USD CERT 181 220525 984851006 CD 22.11.2024 22.05.2025
XS2858042562 PRE: DNB Bank ASA 0% USD CERT 185 060125 984851006 CD 05.07.2024 06.01.2025
XS2885068929 PRE: DNB Bank ASA 0% USD CERT 186 180225 984851006 CD 16.08.2024 18.02.2025
XS2753919641 PRE: DNB Bank ASA 0% USD CERT 349 020125 984851006 CD 19.01.2024 02.01.2025
XS2816799709 PRE: DNB Bank ASA 0% USD CERT 364 010525 984851006 CD 02.05.2024 01.05.2025
XS2803756241 PRE: DNB Bank ASA 0% USD CERT 364 100425 984851006 CD 11.04.2024 10.04.2025
XS2863129180 PRE: DNB Bank ASA 0% USD CERT 364 160725 984851006 CD 17.07.2024 16.07.2025
XS2726235034 PRE: DNB Bank ASA 0% USD CERT 364 221124 984851006 CD 24.11.2023 22.11.2024
XS2813135170 PRE: DNB Bank ASA 0% USD CERT 364 280425 984851006 CD 29.04.2024 28.04.2025
XS2815855411 PRE: DNB Bank ASA 0% USD CERT 364 290425 984851006 CD 30.04.2024 29.04.2025
XS2731282989 PRE: DNB Bank ASA FRN CERT 364 031224 984851006 CD 05.12.2023 03.12.2024
XS2921508060 PRE: DNB Bank ASA FRN CERT 364 131025 984851006 CD 14.10.2024 13.10.2025
XS2886902860 PRE: DNB Bank ASA FRN CERT 364 190825 984851006 CD 20.08.2024 19.08.2025
XS2927518857 PRE: DNB Bank ASA FRN CERT 364 211025 984851006 CD 22.10.2024 21.10.2025
XS2930566760 PRE: DNB Bank ASA FRN CERT 364 271025 984851006 CD 28.10.2024 27.10.2025
XS2800066453 PRE: DNB Bank ASA FRN GBP CERT 364 030425 984851006 CD 04.04.2024 03.04.2025
XS2801253852 PRE: DNB Bank ASA FRN GBP CERT 364 070425 984851006 CD 08.04.2024 07.04.2025
XS2749520834 PRE: DNB Bank ASA FRN GBP CERT 364 100125 984851006 CD 12.01.2024 10.01.2025
XS2845157812 PRE: DNB Bank ASA FRN GBP CERT 364 130625 984851006 CD 14.06.2024 13.06.2025
NO0013359943 PRE: Drangedal komm 4,95% CERT 073 161224 933277461 CD 04.10.2024 16.12.2024
NO0013411694 PRE: Ferde AS 4,922% CERT 092 250225 918012745 CD 25.11.2024 25.02.2025
NO0013411058 PRE: Ferde AS 5,04% CERT 092 210225 918012745 CD 21.11.2024 21.02.2025
NO0013409805 PRE: Hamar komm 4,96% CERT 094 240225 970540008 CD 22.11.2024 24.02.2025
NO0013406405 PRE: Haram komm 4,963% CERT 091 140225 829912252 CD 15.11.2024 14.02.2025
NO0013410449 PRE: Jæren Spb 24/30 FRN 937895976 Bond 21.11.2024 21.02.2030
NO0013391680 PRE: Klepp komm 4,903% CERT 092 060225 864969682 CD 06.11.2024 06.02.2025
XS2927536917 PRE: Kommunalbanken AS 0% CERT 072 030125 981203267 CD 23.10.2024 03.01.2025
XS2927526959 PRE: Kommunalbanken AS 0% CERT 073 030125 981203267 CD 22.10.2024 03.01.2025
XS2923564806 PRE: Kommunalbanken AS 0% CERT 074 030125 981203267 CD 21.10.2024 03.01.2025
XS2929405483 PRE: Kommunalbanken AS 0% CERT 076 080125 981203267 CD 24.10.2024 08.01.2025
XS2923432137 PRE: Kommunalbanken AS 0% CERT 092 170125 981203267 CD 17.10.2024 17.01.2025
XS2930542589 PRE: Kommunalbanken AS 0% CERT 092 280125 981203267 CD 28.10.2024 28.01.2025
XS2931211846 PRE: Kommunalbanken AS 0% CERT 092 290125 981203267 CD 29.10.2024 29.01.2025
XS2930699215 PRE: Kommunalbanken AS 0% USD CERT 085 210125 981203267 CD 28.10.2024 21.01.2025
XS2930546655 PRE: Kommunalbanken AS 0% USD CERT 092 280125 981203267 CD 28.10.2024 28.01.2025
XS2929911340 PRE: Kommunalbanken AS 0% USD CERT 094 270125 981203267 CD 25.10.2024 27.01.2025
XS2903252695 PRE: Kommunalbanken AS 0% USD CERT 122 130125 981203267 CD 13.09.2024 13.01.2025
XS2905433988 PRE: Kommunalbanken AS 0% USD CERT 122 170125 981203267 CD 17.09.2024 17.01.2025
NO0013407064 PRE: Kristiansund komm 4,963% CERT 063 210125 991891919 CD 19.11.2024 21.01.2025
NO0013178632 PRE: Kvinnherad komm 5,01% CERT 275 111224 964967636 CD 11.03.2024 11.12.2024
XS2940386399 PRE: Landwirtschaftlic 0% NOK CERT 092 120225 HRA30636 CD 12.11.2024 12.02.2025
NO0013411660 PRE: Lier komm 5,04% CERT 092 250225 857566122 CD 25.11.2024 25.02.2025
NO0013411686 PRE: Lillehammer komm 4,96% CERT 092 250225 945578564 CD 25.11.2024 25.02.2025
NO0013409771 PRE: Lillesand komm 4,982% CERT 092 200225 964965404 CD 20.11.2024 20.02.2025
XS2931343672 PRE: LMA S.A. 0% NOK CERT 031 291124 383275187 CD 29.10.2024 29.11.2024
NO0013406413 PRE: Melhus komm 4,92% CERT 181 150525 938726027 CD 15.11.2024 15.05.2025
NO0013256107 PRE: Møre og Romsdal f 4,807% CERT 365 110625 944183779 CD 11.06.2024 11.06.2025
NO0013411108 PRE: Nammo AS 24/34 5,224% 979984731 Bond 27.11.2024 27.11.2034
NO0013224444 PRE: Nannestad komm 4,905% CERT 306 120325 964950202 CD 10.05.2024 12.03.2025
NO0013183590 PRE: Nittedal komm 4,857% CERT 365 180325 971643870 CD 18.03.2024 18.03.2025
NO0013407072 PRE: OP HoldCo GmbH 24/29 FRN EUR FLOOR C HRB 15996 Bond 05.12.2024 05.06.2029
NO0013411082 PRE: Orkland komm 4,96% CERT 091 210225 921233418 CD 22.11.2024 21.02.2025
NO0013405704 PRE: Polaris Renewable Ener 24/29 9,50% USD C 1980654 Bond 03.12.2024 03.12.2029
NO0013409797 PRE: Rørosbanken Røro Spb FRN CERT 365 201125 956548888 CD 20.11.2024 20.11.2025
NO0013228551 PRE: Sandnes komm 4,893% CERT 252 150125 964965137 CD 08.05.2024 15.01.2025
NO0013220293 PRE: Sandnes komm 4,922% CERT 275 290125 964965137 CD 29.04.2024 29.01.2025
NO0013407080 SOLKO07 PRE: Sola komm 24/27 4,44% 948243113 Bond 18.11.2024 18.11.2027
NO0013409177 PRE: Spb 1 Lom og Skjåk 24/29 FRN 937888015 Bond 26.11.2024 26.11.2029
NO0013409854 PRE: Spb 1 Nordmøre 24/30 FRN 937899408 Bond 22.11.2024 22.02.2030
NO0013407056 PRE: Spb 1 Nord-Norge 24/PERP FRN C HYBRID 952706365 Tier 1 21.11.2024 21.11.2099
NO0013410415 PRE: Spb 1 Ringerike Had 24/PERP FRN C HYBRID 937889275 Tier 1 25.11.2024 25.11.2099
NO0013185769 PRE: Spb 1 Østfold Akersh FRN CERT 365 190325 837884942 CD 19.03.2024 19.03.2025
NO0013252544 STANE89 PRE: Statnett SF 24/34 4,665% 962986633 Bond 07.06.2024 07.06.2034
NO0013409813 PRE: Stavanger komm 4,75% CERT 365 201125 964965226 CD 20.11.2024 20.11.2025
NO0013328583 PRE: Stjørdal komm 4,90% CERT 091 031224 939958851 CD 03.09.2024 03.12.2024
NO0013233031 PRE: Sula komm 4,938% CERT 365 150525 964980543 CD 15.05.2024 15.05.2025
USR9138BAA00 PRE: TGS ASA 24/30 8,50% C 976695372 Bond 03.12.2024 15.01.2030
NO0013409789 PRE: Vegamot AS 4,735% CERT 365 201125 935162718 CD 20.11.2024 20.11.2025
NO0013409839 PRE: Vegamot AS 4,762% CERT 365 201125 935162718 CD 20.11.2024 20.11.2025
NO0013407114 PRE: Vegamot AS 4,84% CERT 273 190825 935162718 CD 19.11.2024 19.08.2025
NO0013405761 PRE: Vegamot AS 4,85% CERT 213 160625 935162718 CD 15.11.2024 16.06.2025
NO0013406454 PRE: Vegamot AS 4,898% CERT 120 180325 935162718 CD 18.11.2024 18.03.2025
NO0013411132 PRE: Vegfinans Vike AS 4,942% CERT 091 210225 923886931 CD 22.11.2024 21.02.2025
NO0013229799 PRE: Vestby komm 4,875% CERT 365 150525 943485437 CD 15.05.2024 15.05.2025
NO0013186437 PRE: Vestby komm 4,965% CERT 365 210325 943485437 CD 21.03.2024 21.03.2025
NO0013233841 PRE: Ørland komm 4,895% CERT 184 211124 921806027 CD 21.05.2024 21.11.2024
NO0013233155 PRE: Øyer komm 4,945% CERT 365 160525 961381185 CD 16.05.2024 16.05.2025
NO0013121277 PRE: Øygarden komm 4,78% CERT 364 100125 922530890 CD 12.01.2024 10.01.2025
NO0013210542 PRE: Øygarden komm 4,908% CERT 364 110425 922530890 CD 12.04.2024 11.04.2025
NO0011117137 Preservium Midco AB 21/26 2,18% SEK C 559326-7072 Bond 18.10.2021 20.10.2026
NO0013387852 Priority 1 Issuer Lo 24/27 12,625% USD C 773354 Bond 19.11.2024 19.11.2027
NO0012459371 Promenaden High Street AS 22/25 3,79% C 918538488 Bond 31.03.2022 31.03.2025
NO0012928102 Property Knowledg AS 23/25 16,50% STEP C 852386622 Bond 19.07.2023 30.07.2025
XS1526507790 XS1526507790 Protective Life Global 16/28 2,925% NOK 5824799 Bond 05.12.2016 05.12.2028
NO0010914443 PROTCT05 Protector Forsi ASA 20/50 FRN STEP C SUB 985279721 Tier 2 16.12.2020 16.12.2050
NO0011170045 PROTCT06 Protector Forsi ASA 21/PERP FRN C HYBRID 985279721 Tier 1 14.12.2021 14.12.2099
NO0012442278 PROTCT07 Protector Forsikring ASA 22/52 FRN C SUB 985279721 Tier 2 21.02.2022 21.02.2052
NO0013091876 PROTCT08 Protector Forsikring ASA 23/54 FRN C SUB 985279721 Tier 2 07.12.2023 07.03.2054
NO0012733387 Proximar Seafood AS 22/25 7,00% SUB CONV 915565697 Convertible 27.10.2022 27.10.2025
NO0011149866 Public Property S AS 21/28 3,476% STEP C 923640789 Bond 16.12.2021 23.03.2028
NO0011018384 Public Property Sub- AS 21/27 3,00% STEP 923641238 Bond 22.06.2021 23.03.2027
NO0010834021 Quorum Properties AB 18/20 10,00% C 556979-5080 Bond 09.10.2018 09.10.2020
NO0013256750 Rakkestad komm 4,99% CERT 182 061224 945372281 CD 07.06.2024 06.12.2024
NO0010863640 RAKO03 Rana komm 19/27 2,015% 872418032 Bond 18.09.2019 17.09.2027
NO0011024556 RAKO06 Rana komm 21/25 FRN 872418032 Bond 16.06.2021 18.06.2025
NO0013186486 RAKO07 Rana komm 24/26 FRN 872418032 Bond 20.03.2024 18.03.2026
NO0013265264 RAKO08 Rana komm 24/27 FRN 872418032 Bond 19.06.2024 16.06.2027
NO0013187039 Rana komm 4,97% CERT 273 181224 872418032 CD 20.03.2024 18.12.2024
NO0010860323 Randaberg komm 19/29 2,07% 934945514 Bond 12.08.2019 10.08.2029
NO0013121954 Randaberg komm 4,69% CERT 366 170125 934945514 CD 17.01.2024 17.01.2025
NO0013314054 Randaberg komm 4,715% CERT 365 140825 934945514 CD 14.08.2024 14.08.2025
NO0013405126 Randaberg komm 4,72% CERT 364 141125 934945514 CD 15.11.2024 14.11.2025
NO0013197079 Randaberg komm 4,95% CERT 364 040425 934945514 CD 05.04.2024 04.04.2025
NO0013383398 Rauma komm 4,799% CERT 182 240425 864980902 CD 24.10.2024 24.04.2025
NO0012637323 RD16G3OK25RF Realkredit Danmark A/S 22/25 FRN COVD 13399174 Bond 01.07.2022 01.10.2025
NO0013003822 RD16G3OK26RF Realkredit Danmark A/S 23/26 FRN COVD 13399174 Bond 03.07.2023 01.10.2026
NO0013316570 RD16G3OK27RF Realkredit Danmark A/S 24/27 FRN COVD 13399174 Bond 01.07.2024 01.10.2027
NO0011130148 REECK01 Rederiaktiebolaget 21/26 FRN EUR FLOOR C 0280703-5 Bond 28.10.2021 28.10.2026
NO0010686561 EFOR01 PRO Rem Saltire Holding AS 13/24 FRN STEP C 926419390 Bond 04.09.2013 31.12.2024
NO0013030205 RMKB01 Remarkable Invest AS 23/27 FRN FLOOR C 828148702 Bond 12.10.2023 12.10.2027
NO0013354696 Resurs Bank AB 24/26 FRN 516401-0208 Bond 01.10.2024 01.10.2026
NO0010787252 RHEM 136 Rikshem AB 17/27 3,04% 556709-9667 Bond 01.03.2017 01.03.2027
NO0010815152 RHEM 143 Rikshem AB 18/28 3,078% 556709-9667 Bond 31.01.2018 31.01.2028
NO0010839079 RHEM 150 Rikshem AB 18/28 3,48% 556709-9667 Bond 07.12.2018 07.12.2028
NO0010821572 RHEM 145 Rikshem AB 18/30 3,42% 556709-9667 Bond 24.04.2018 24.04.2030
NO0010834534 RHEM 149 Rikshem AB 18/33 3,70% 556709-9667 Bond 18.10.2018 18.10.2033
NO0010845944 RHEM 156 Rikshem AB 19/29 2,97% 556709-9667 Bond 12.03.2019 12.03.2029
NO0010882863 NO0010882863 Rikshem AB 20/26 FRN 556709-9667 Bond 22.05.2020 22.05.2026
NO0010907868 NO0010907868 Rikshem AB 20/29 FRN 556709-9667 Bond 02.12.2020 02.03.2029
NO0010905433 NO0010905433 Rikshem AB 20/32 1,91% 556709-9667 Bond 16.11.2020 16.11.2032
NO0010885346 NO0010885346 Rikshem AB 20/32 2,37% 556709-9667 Bond 17.06.2020 17.06.2032
NO0013081323 Rikshem AB 23/35 5,35% 556709-9667 Bond 04.12.2023 04.12.2035
NO0013353318 Rikshem AB 24/31 FRN 556709-9667 Bond 30.09.2024 30.09.2031
NO0013216226 Rikshem AB 24/32 5,23% 556709-9667 Bond 23.04.2024 23.04.2032
NO0011090292 RISB10 PRO Rindal Spb 21/25 FRN 937900953 Bond 06.09.2021 06.03.2025
NO0012518945 RISB11 PRO Rindal Spb 22/25 FRN 937900953 Bond 05.05.2022 05.11.2025
NO0012834300 RISB12 PRO Rindal Spb 23/26 FRN 937900953 Bond 03.02.2023 03.02.2026
NO0013140657 RISB13 PRO Rindal Spb 24/27 FRN 937900953 Bond 01.02.2024 01.02.2027
NO0013275172 RISB14 PRO Rindal Spb 24/27 FRN 937900953 Bond 03.07.2024 25.06.2027
NO0012855602 RINKO01 Ringerike komm 23/25 FRN 940100925 Bond 01.03.2023 03.03.2025
NO0012904723 RINKO02 Ringerike komm 23/33 3,917% 940100925 Bond 05.05.2023 05.05.2033
NO0013138388 RINKO03 Ringerike komm 24/34 4,255% 940100925 Bond 25.01.2024 25.01.2034
NO0013328575 Ringerike komm 4,52% CERT 365 040925 940100925 CD 04.09.2024 04.09.2025
NO0013264572 Ringerike komm 4,808% CERT 364 200625 940100925 CD 21.06.2024 20.06.2025
NO0013162719 Ringerike komm 4,899% CERT 365 200225 940100925 CD 21.02.2024 20.02.2025
NO0010869316 RNGK05 PRO Ringerikskraft AS 19/26 2,90% 976957628 Bond 26.11.2019 26.11.2026
NO0010852155 RNGK04 PRO Ringerikskraft AS 19/29 3,34% 976957628 Bond 16.05.2019 16.05.2029
NO0012494634 RNGK06 PRO Ringerikskraft AS 22/25 FRN 976957628 Bond 12.04.2022 14.04.2025
XS2476290338 XS2476290338 Ringkjøbing Landboba A/S 22/28 FRN NOK C 37536814 Tier 3 05.05.2022 05.05.2028
XS2926257234 XS2926257234 Ringkjøbing Landboba A/S 24/30 FRN NOK C 37536814 Tier 3 24.10.2024 02.05.2030
NO0013330639 Risør komm 4,90% CERT 091 061224 964977402 CD 06.09.2024 06.12.2024
NO0013324756 Risør komm 4,90% CERT 092 291124 964977402 CD 29.08.2024 29.11.2024
NO0013406496 Risør komm 4,99% CERT 091 140225 964977402 CD 15.11.2024 14.02.2025
NO0010775802 ROFY01 Rogaland fylke 16/26 2,19% 971045698 Bond 29.09.2016 29.09.2026
NO0010826274 ROFY05 Rogaland fylke 18/28 2,72% 971045698 Bond 14.06.2018 14.06.2028
NO0010816796 ROFY04 Rogaland fylke 18/28 2,728% 971045698 Bond 20.02.2018 21.02.2028
NO0010876832 ROFY08 Rogaland fylke 20/25 1,62% 971045698 Bond 11.03.2020 11.03.2025
NO0010936115 ROFY10 Rogaland fylke 21/25 FRN 971045698 Bond 18.02.2021 18.02.2025
NO0011077653 Rogaland fylke 21/28 1,738% 971045698 Bond 18.08.2021 18.08.2028
NO0010961097 ROFY09 Rogaland fylke 21/31 2,12% 971045698 Bond 22.03.2021 24.03.2031
NO0012499138 ROFY11 Rogaland fylke 22/29 3,308% 971045698 Bond 20.04.2022 20.04.2029
NO0013091843 ROFY12 Rogaland fylke 23/25 FRN 971045698 Bond 05.12.2023 05.12.2025
NO0010872385 ROGS83 PRO Rogaland Spb 19/25 FRN 915691161 Bond 23.12.2019 25.04.2025
NO0010892318 ROGS84 PRO Rogaland Spb 20/25 1,31% 915691161 Bond 09.09.2020 09.09.2025
NO0010872971 ROGS82 PRO Rogaland Spb 20/26 2,48% 915691161 Bond 16.01.2020 16.02.2026
NO0010917172 ROGS85 PRO Rogaland Spb 21/26 FRN 915691161 Bond 12.01.2021 12.06.2026
NO0012460080 ROGS28 PRO Rogaland Spb 22/25 FRN 915691161 Bond 04.03.2022 04.03.2025
NO0012658048 ROGS88 PRO Rogaland Spb 22/27 4,52% 915691161 Bond 30.08.2022 05.10.2027
NO0012622721 ROGS86 PRO Rogaland Spb 22/27 FRN 915691161 Bond 18.08.2022 27.08.2027
NO0012643297 ROGS87 PRO Rogaland Spb 22/32 FRN C SUB 915691161 Tier 2 30.08.2022 01.12.2032
NO0012816166 ROGS31 PRO Rogaland Spb 23/25 FRN 915691161 Bond 18.01.2023 15.10.2025
NO0013100701 ROGS32 PRO Rogaland Spb 23/25 FRN 915691161 Bond 15.12.2023 15.01.2025
NO0012816174 ROGS30 PRO Rogaland Spb 23/26 FRN 915691161 Bond 18.01.2023 18.03.2026
NO0012816182 ROGS29 PRO Rogaland Spb 23/26 FRN 915691161 Bond 18.01.2023 18.09.2026
NO0013091850 ROGS91 PRO Rogaland Spb 23/26 FRN 915691161 Bond 07.12.2023 07.12.2026
NO0012992082 ROGS90 PRO Rogaland Spb 23/33 FRN STEP C SUB 915691161 Tier 2 23.08.2023 23.11.2033
NO0012928771 ROGS89 PRO Rogaland Spb 23/PERP FRN STEP C HYBRID 915691161 Tier 1 01.06.2023 01.06.2099
NO0013354704 ROGS94 PRO ESG Rogaland Spb 24/29 4,36% 915691161 Bond 01.10.2024 01.10.2029
NO0013216242 Rogaland Spb 24/34 FRN C SUB 915691161 Tier 2 02.05.2024 02.11.2034
NO0013134700 ROGS92 PRO Rogaland Spb 24/34 FRN STEP C SUB 915691161 Tier 2 24.01.2024 23.05.2034
NO0013216259 Rogaland Spb 24/PERP FRN C HYBRID 915691161 Tier 1 02.05.2024 02.05.2099
NO0013251199 ROGS93 PRO Rogaland Spb 24/PERP FRN C HYBRID 915691161 Tier 1 04.06.2024 04.08.2099
NO0010886237 ROGBO20 PRO ESG Rogaland Spb Bo AS 20/25 FRN STEP C COVD 993153036 Bond 24.06.2020 16.06.2025
NO0012748658 ROGBO24 PRO Rogaland Spb Bo AS 22/25 FRN STEP C COVD 993153036 Bond 10.11.2022 10.11.2025
NO0013210476 ROGBO27 PRO Rogaland Spb Bo AS 24/30 FRN STEP C COVD 993153036 Bond 16.04.2024 07.02.2030
NO0012699042 ROGBO23 PRO Rogaland Spb Bolig AS 22/27 4,20% C COVD 993153036 Bond 21.09.2022 21.10.2027
NO0010753320 ROGBO12 PRO Rogaland Spb Boligkr AS 15/26 ADJ C COVD 993153036 Bond 18.12.2015 18.03.2026
NO0010834070 ROGBO15 PRO Rogaland Spb Boligkr AS 18/28 ADJ C COVD 993153036 Bond 10.10.2018 10.10.2028
NO0010849847 ROGBO16 PRO Rogaland Spb Boligkr AS 19/29 ADJ C COVD 993153036 Bond 12.04.2019 19.06.2029
NO0010868706 ROGBO18 PRO Rogaland Spb Boligkr AS 19/30 ADJ C COVD 993153036 Bond 20.11.2019 20.05.2030
NO0010952872 ROGBO21 PRO Rogaland Spb Boligkr AS 21/26 FRN C COVD 993153036 Bond 18.03.2021 18.05.2026
NO0012422908 ROGBO22 PRO Rogaland Spb Boligkr AS 22/27 FRN C COVD 993153036 Bond 26.01.2022 26.04.2027
NO0012810482 ROGBO25 PRO Rogaland Spb Boligkr AS 23/28 FRN C COVD 993153036 Bond 13.01.2023 03.04.2028
NO0013132993 ROGBO26 PRO ESG Rogaland Spb Boligkr AS 24/29 FRN C COVD 993153036 Bond 22.01.2024 05.03.2029
NO0010890809 ROMER30 PRO Romerike Spb 20/25 FRN 937885911 Bond 17.08.2020 17.09.2025
NO0010904949 BLSB15 PRO Romerike Spb 20/25 FRN 937885911 Bond 06.11.2020 06.11.2025
NO0010907199 ROMER31 PRO Romerike Spb 20/26 FRN 937885911 Bond 19.11.2020 19.02.2026
NO0010874126 BLSB14 PRO Romerike Spb 20/PERP FRN C HYBRID 937885911 Tier 1 30.01.2020 30.01.2099
NO0011036774 ROMER33 PRO Romerike Spb 21/31 FRN STEP C SUB 937885911 Tier 2 25.06.2021 25.06.2031
NO0012780032 ROMER35 PRO Romerike Spb 22/26 FRN 937885911 Bond 07.12.2022 07.12.2026
NO0012756552 ROMER34 PRO Romerike Spb 22/27 FRN 937885911 Bond 16.11.2022 16.11.2027
NO0012780040 ROMER36 PRO Romerike Spb 22/28 FRN 937885911 Bond 07.12.2022 07.12.2028
NO0013017665 ROMER40 PRO Romerike Spb 23/26 FRN 937885911 Bond 14.09.2023 14.09.2026
NO0012942590 ROMER38 PRO Romerike Spb 23/27 FRN 937885911 Bond 14.06.2023 14.06.2027
NO0012860917 ROMER37 PRO Romerike Spb 23/28 FRN 937885911 Bond 08.03.2023 08.03.2028
NO0012942608 ROMER39 PRO Romerike Spb 23/29 FRN 937885911 Bond 14.06.2023 14.06.2029
NO0013351163 ROMER43 ESG PRO Romerike Spb 24/29 FRN 937885911 Bond 25.09.2024 25.09.2029
NO0013407106 ROMER44 PRO ESG Romerike Spb 24/30 FRN 937885911 Bond 18.11.2024 18.03.2030
NO0013331314 ROMER42 PRO Romerike Spb 24/35 FRN C SUB 937885911 Tier 2 12.09.2024 12.03.2035
NO0013183616 ROMER41 PRO Romerike Spb 24/PERP FRN C HYBRID 937885911 Tier 1 20.03.2024 20.03.2099
NO0010891807 ROMSB13 PRO Romsdal Spb 20/25 FRN 937900775 Bond 26.08.2020 26.08.2025
NO0011083388 ROMSB14 PRO Romsdal Spb 21/26 FRN 937900775 Bond 26.08.2021 26.08.2026
NO0012433319 ROMSB15 PRO Romsdal Spb 22/25 FRN 937900775 Bond 31.01.2022 31.01.2025
NO0012534629 ROMSB16 PRO Romsdal Spb 22/25 FRN 937900775 Bond 25.05.2022 23.05.2025
NO0012610601 ROMSB17 PRO Romsdal Spb 22/32 FRN C SUB 937900775 Tier 2 09.08.2022 09.11.2032
NO0012750779 ROMSB19 PRO Romsdal Spb 22/33 FRN STEP C SUB 937900775 Tier 2 07.11.2022 08.02.2033
NO0012699091 ROMSB18 PRO Romsdal Spb 22/PERP FRN C HYBRID 937900775 Tier 1 13.09.2022 13.09.2099
NO0012935412 ROMSB21 PRO Romsdal Spb 23/27 FRN 937900775 Bond 07.06.2023 07.06.2027
NO0013015347 ROMSB22 PRO Romsdal Spb 23/28 FRN 937900775 Bond 11.09.2023 11.09.2028
NO0013107466 ROMSB23 PRO Romsdal Spb 23/29 FRN 937900775 Bond 22.12.2023 22.03.2029
NO0012847740 ROMSB20 PRO Romsdal Spb 23/PERP FRN C HYBRID 937900775 Tier 1 22.02.2023 22.02.2099
NO0013336206 ROMSB26 PRO Romsdal Spb 24/27 FRN 937900775 Bond 17.09.2024 02.11.2027
NO0013272252 ROMSB25 PRO Romsdal Spb 24/28 FRN 937900775 Bond 02.07.2024 01.06.2028
NO0013257592 ROMSB24 PRO Romsdal Spb 24/29 FRN 937900775 Bond 10.06.2024 10.09.2029
NO0010863822 RAEKO04 Rælingen komm 19/25 FRN 952540556 Bond 18.09.2019 17.09.2025
NO0010864119 RAEKO05 Rælingen komm 19/29 2,225% 952540556 Bond 18.09.2019 18.09.2029
NO0010873490 RAEKO06 Rælingen komm 20/26 2,19% 952540556 Bond 20.01.2020 16.09.2026
NO0012473349 RAEKO08 Rælingen komm 22/30 2,86% 952540556 Bond 16.03.2022 15.03.2030
NO0012643305 RAEKO09 Rælingen komm 22/30 4,04% 952540556 Bond 26.08.2022 26.08.2030
NO0013339804 RAEKO10 Rælingen komm 24/27 FRN 952540556 Bond 20.09.2024 20.03.2027
NO0013320085 ROSB30 PRO Rørosbanken Rør Spb 24/PERP ADJ C HYBRID 956548888 Tier 1 27.08.2024 27.08.2099
NO0010874167 ROSB22 PRO Rørosbanken Røros Spb 20/25 FRN 956548888 Bond 03.02.2020 03.02.2025
NO0010923006 ROSB23 PRO Rørosbanken Røros Spb 21/26 FRN 956548888 Bond 04.02.2021 04.02.2026
NO0012948977 ROSB27 PRO Rørosbanken Røros Spb 23/26 FRN 956548888 Bond 27.06.2023 04.09.2026
NO0012811852 ROSB24 PRO Rørosbanken Røros Spb 23/27 FRN 956548888 Bond 17.01.2023 04.02.2027
NO0012933557 ROSB26 PRO Rørosbanken Røros Spb 23/27 FRN 956548888 Bond 01.06.2023 01.09.2027
NO0012811860 ROSB25 PRO Rørosbanken Røros Spb 23/28 FRN 956548888 Bond 18.01.2023 04.02.2028
NO0013314021 ROSB29 PRO Rørosbanken Røros Spb 24/29 FRN 956548888 Bond 14.08.2024 14.02.2029
NO0013198408 ROSB28 PRO Rørosbanken Røros Spb 24/34 ADJ C SUB 956548888 Tier 2 11.04.2024 11.10.2034
NO0010980683 SALM01 ESG SalMar ASA 21/27 FRN FLOOR 960514718 Bond 22.04.2021 22.01.2027
NO0013334847 SalMar ASA 5,13% CERT 181 130325 960514718 CD 13.09.2024 13.03.2025
NO0013364398 A3L5RA Samara Asset G Plc 24/29 FRN EUR FLOOR C C 84355 Bond 05.11.2024 05.11.2029
XS2085870728 XS2085870728 Samhällsbyggnads AB 19/24 3,12% NOK STEP 556981-7660 Bond 28.11.2019 28.11.2024
XS2223676201 XS2223676201 Samhällsbyggnadsbolag AB 20/25 FRN NOK C 556981-7660 Bond 27.08.2020 27.08.2025
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NO0013265827 SEIL01 PRO Samos Energy Infr Ltd 24/28 12,50% USD C 149126 Bond 05.07.2024 05.07.2028
XS1877343803 XS1877343803 Sampo Oyj 18/28 3,10% NOK 0142213-3 Bond 07.09.2018 07.09.2028
NO0013339127 Sande komm (Larsne 4,57% CERT 365 180925 822534422 CD 18.09.2024 18.09.2025
NO0013177238 Sande komm (Larsne 5,08% CERT 308 100125 822534422 CD 08.03.2024 10.01.2025
NO0013209882 SAFJK02 Sandefjord komm 24/26 FRN 916882807 Bond 12.04.2024 13.04.2026
NO0013225680 SAFJK03 Sandefjord komm 24/26 FRN 916882807 Bond 08.05.2024 08.05.2026
NO0013350546 Sandefjord komm 4,67% CERT 181 200325 916882807 CD 20.09.2024 20.03.2025
NO0013335646 Sandefjord komm 4,68% CERT 181 130325 916882807 CD 13.09.2024 13.03.2025
NO0013379537 Sandefjord komm 4,76% CERT 189 250425 916882807 CD 18.10.2024 25.04.2025
NO0013330563 Sandefjord komm 4,763% CERT 181 060325 916882807 CD 06.09.2024 06.03.2025
NO0010774151 SAKO03 Sandnes komm 16/26 2,118% 964965137 Bond 09.09.2016 09.09.2026
NO0010890932 SAKO06 Sandnes komm 20/30 1,404% 964965137 Bond 14.08.2020 14.08.2030
NO0010920937 SAKO07 Sandnes komm 21/28 1,469% 964965137 Bond 26.01.2021 26.01.2028
NO0010997281 SAKO08 Sandnes komm 21/31 2,053% 964965137 Bond 07.05.2021 07.05.2031
NO0013198424 SAKO09 Sandnes komm 24/26 FRN 964965137 Bond 09.04.2024 15.04.2026
NO0013351148 Sandnes komm 4,625% CERT 242 230525 964965137 CD 23.09.2024 23.05.2025
NO0013335612 Sandnes komm 4,66% CERT 238 090525 964965137 CD 13.09.2024 09.05.2025
NO0013330589 Sandnes komm 4,729% CERT 210 040425 964965137 CD 06.09.2024 04.04.2025
NO0013363838 Sandnes komm 4,808% CERT 211 090525 964965137 CD 10.10.2024 09.05.2025
NO0013382192 Sandnes komm 4,812% CERT 157 280325 964965137 CD 22.10.2024 28.03.2025
NO0013407098 Sandnes komm 4,824% CERT 304 190925 964965137 CD 19.11.2024 19.09.2025
NO0013388934 Sandnes komm 4,825% CERT 176 290425 964965137 CD 04.11.2024 29.04.2025
NO0013256842 Sandnes komm 4,843% CERT 245 070225 964965137 CD 07.06.2024 07.02.2025
NO0013320069 Sandnes komm 4,865% CERT 211 210325 964965137 CD 22.08.2024 21.03.2025
NO0013246942 Sandnes komm 4,875% CERT 272 200225 964965137 CD 24.05.2024 20.02.2025
NO0013261131 Sandnes komm 4,877% CERT 273 140325 964965137 CD 14.06.2024 14.03.2025
NO0013405860 Sandnes komm 4,882% CERT 211 130625 964965137 CD 14.11.2024 13.06.2025
NO0010835143 SANC27 PRO Santander C AS 18/PERP FRN STEP C HYBRID 983521592 Tier 1 29.10.2018 29.10.2099
NO0010835150 SANC28 PRO Santander C AS 18/PERP FRN STEP C HYBRID 983521592 Tier 1 29.10.2018 29.10.2099
NO0010835176 SANC29 PRO Santander Consum AS 18/PERP FRN C HYBRID 983521592 Tier 1 29.10.2018 29.10.2099
XS2089972546 XS2089972546 Santander Consume AS 19/29 FRN SEK C SUB 983521592 Tier 2 10.12.2019 10.12.2029
XS2089968601 XS2089968601 Santander Consume AS 19/30 FRN SEK C SUB 983521592 Tier 2 23.12.2019 23.12.2030
NO0010909880 SANC41 PRO Santander Consumer AS 20/31 2,62% C SUB 983521592 Tier 2 18.12.2020 18.06.2031
XS2025992061 XS2025992061 Santander Consumer Bank AS 19/25 FRN SEK 983521592 Bond 15.07.2019 15.01.2025
XS2124046918 XS2124046918 Santander Consumer Bank AS 20/25 0,125% 983521592 Bond 25.02.2020 25.02.2025
NO0010893365 SANC40 PRO Santander Consumer Bank AS 20/25 FRN 983521592 Bond 15.09.2020 15.09.2025
XS2331216577 XS2331216577 Santander Consumer Bank AS 21/26 0,125% 983521592 Bond 14.04.2021 14.04.2026
NO0011146425 SANC43 PRO ESG Santander Consumer Bank AS 21/26 FRN 983521592 Bond 05.11.2021 05.11.2026
XS2287887322 XS2287887322 Santander Consumer Bank AS 21/26 FRN SEK 983521592 Bond 19.01.2021 19.01.2026
XS2441296923 XS2441296923 Santander Consumer Bank AS 22/25 0,50% 983521592 Bond 11.02.2022 11.08.2025
NO0012662412 SANC47 PRO Santander Consumer Bank AS 22/25 FRN 983521592 Bond 31.08.2022 29.08.2025
NO0012662420 SANC46 PRO Santander Consumer Bank AS 22/27 FRN 983521592 Bond 31.08.2022 31.08.2027
NO0013019059 SANC45 PRO Santander Consumer Bank AS 23/26 FRN 983521592 Bond 18.09.2023 18.09.2026
NO0013019067 SANC44 PRO Santander Consumer Bank AS 23/28 FRN 983521592 Bond 18.09.2023 18.09.2028
NO0013119883 SANC48 PRO Santander Consumer Bank AS 24/27 FRN 983521592 Bond 12.01.2024 12.01.2027
NO0013250621 SANC49 PRO Santander Consumer Bank AS 24/27 FRN 983521592 Bond 31.05.2024 31.05.2027
NO0013391615 SANC50 PRO ESG Santander Consumer Bank AS 24/27 FRN 983521592 Bond 05.11.2024 05.11.2027
XS2749542481 XS2749542481 Santander Consumer Bank AS 24/27 FRN SEK 983521592 Bond 18.01.2024 18.01.2027
XS2785676722 XS2785676722 Santander Consumer Bank AS 24/27 FRN SEK 983521592 Bond 18.03.2024 18.03.2027
XS2898155622 XS2898155622 Santander Consumer Bank AS 24/27 FRN SEK 983521592 Bond 10.09.2024 10.09.2027
XS2918565354 Santander Consumer Bank AS 24/27 FRN SEK 983521592 Bond 16.10.2024 10.09.2027
XS2887822885 XS2887822885 Santander Consumer Bank AS 24/29 FRN SEK 983521592 Bond 27.08.2024 27.08.2029
XS1569879304 XS1569879304 Santander UK Group H Plc 17/27 3,45% NOK 08700698 Bond 22.02.2017 22.02.2027
NO0013330555 Sarpsborg komm 4,505% CERT 364 050925 938801363 CD 06.09.2024 05.09.2025
NO0013355354 Sarpsborg komm 4,61% CERT 365 011025 938801363 CD 01.10.2024 01.10.2025
NO0013161927 Sarpsborg komm 4,867% CERT 365 180225 938801363 CD 19.02.2024 18.02.2025
NO0013360032 Sauda komm 4,64% CERT 365 071025 964979367 CD 07.10.2024 07.10.2025
NO0013326116 Sauda komm 4,837% CERT 179 280225 964979367 CD 02.09.2024 28.02.2025
XS2915445766 XS2915445766 Saxo Bank A/S 24/30 FRN NOK C 15731249 Tier 3 09.10.2024 09.10.2030
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NO0013163451 Scala Eiendom AS 24/29 6,45% C 995513706 Bond 21.02.2024 21.02.2029
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XS2560421930 XS2560421930 Scania CV 22/24 FRN NOK 556084-0976 Bond 28.11.2022 28.11.2024
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NO0010931181 SCATC03 ESG Scatec ASA 21/25 FRN EUR C 990918546 Bond 19.02.2021 19.08.2025
NO0012837030 SCATC04 ESG Scatec ASA 23/27 FRN C 990918546 Bond 17.02.2023 17.02.2027
NO0013144964 SCATC05 ESG Scatec ASA 24/28 FRN FLOOR C 990918546 Bond 07.02.2024 07.02.2028
NO0011157323 SCHA02 Schibsted ASA 21/26 FRN 933739384 Bond 25.11.2021 25.11.2026
NO0012484486 SCHA03 Schibsted ASA 22/27 FRN 933739384 Bond 30.03.2022 30.09.2027
NO0012484494 SCHA04 Schibsted ASA 22/29 3,95% 933739384 Bond 30.03.2022 28.03.2029
NO0012911306 SCHA06 Schibsted ASA 23/28 FRN 933739384 Bond 10.05.2023 10.05.2028
NO0012911231 SCHA05 Schibsted ASA 23/30 4,85% 933739384 Bond 10.05.2023 10.05.2030
NO0012530973 SLETT01 PRO Schletter Internat 22/25 FRN EUR FLOOR C 71834826 Bond 12.09.2022 12.09.2025
NO0012530981 SLETT02 PRO Schletter Internation 22/26 12,00% EUR C 71834826 Bond 12.09.2022 12.03.2026
XS2842050812 XS2842050812 Scottish Hydro El Plc 24/34 4,731% NOK C SC213461 Bond 26.06.2024 26.06.2034
NO0013326132 Seacr Ltd 24/27 10,00% USD STEP SUB CONV 54716 Convertible 18.09.2024 18.09.2027
NO0013134759 SEAPT01 PRO Seacrest Petroleo Ltd 24/27 16,00% USD C 54716 Bond 29.01.2024 29.01.2027
NO0010891559 SPK06 Seapeak LLC 20/25 FRN FLOOR 950008 Bond 02.09.2020 02.09.2025
NO0011151870 SPK07 Seapeak LLC 21/26 FRN FLOOR C 950008 Bond 18.11.2021 18.11.2026
NO0012923194 SECOP02 Secop Group Holdin 23/26 FRN EUR FLOOR C 14025 FL Bond 29.06.2023 29.12.2026
NO0010891245 SELB23 PRO Selbu Spb 20/25 FRN 937901836 Bond 21.08.2020 21.08.2025
NO0010946536 SELB25 PRO Selbu Spb 21/26 FRN 937901836 Bond 04.03.2021 04.03.2026
NO0011008344 SELB27 PRO Selbu Spb 21/31 FRN STEP C SUB 937901836 Tier 2 27.05.2021 27.05.2031
NO0013015255 SELB28 PRO Selbu Spb 23/27 FRN 937901836 Bond 13.09.2023 13.09.2027
NO0013096339 SELB29 PRO Selbu Spb 23/28 FRN 937901836 Bond 08.12.2023 08.12.2028
NO0013181420 SELB31 PRO Selbu Spb 24/28 FRN 937901836 Bond 15.03.2024 15.03.2028
NO0013132944 SELB30 PRO Selbu Spb 24/29 FRN 937901836 Bond 18.01.2024 18.01.2029
NO0013405852 SELB32 PRO Selbu Spb 24/29 FRN 937901836 Bond 14.11.2024 14.11.2029
NO0010754435 LENKO01 Senja komm 15/25 2,92% 921369417 Bond 14.12.2015 12.12.2025
NO0013339119 SEKO01 Senja komm 24/27 3,869% 921369417 Bond 20.09.2024 20.09.2027
NO0013256792 Senja komm 4,838% CERT 365 110625 921369417 CD 11.06.2024 11.06.2025
NO0013406470 Senja komm 4,97% CERT 181 150525 921369417 CD 15.11.2024 15.05.2025
NO0010992944 SFLN08 SFL Corporation Ltd. 21/26 7,25% USD C 34296 Bond 12.05.2021 12.05.2026
NO0012819988 SFLN09 ESG SFL Corporation Ltd. 23/27 8,875% USD C 34296 Bond 01.02.2023 01.02.2027
NO0013200543 SFLN10 SFL Corporation Ltd. 24/28 8,25% USD C 34296 Bond 19.04.2024 19.04.2028
NO0013335448 SFLN11 SFL Corporation Ltd. 24/29 FRN FLOOR C 34296 Bond 25.09.2024 25.09.2029
NO0012826033 SGL01 SGL Group ApS 23/28 FRN EUR FLOOR C 43639951 Bond 02.03.2023 02.03.2028
NO0013183624 SGL02 SGL Group ApS 24/30 FRN EUR FLOOR C 43639951 Bond 22.04.2024 22.04.2030
NO0011057622 Shamaran Petroleum Corp. 21/27 ADJ USD C BC0778647 Bond 30.07.2021 30.07.2027
NO0013182766 Shearwater GeoServi AS 24/29 9,50% USD C 917313415 Bond 03.04.2024 03.04.2029
NO0013220285 SDHL01 PRO Shelf Drilling (North 24/28 9,875% USD C KY1-1110 Bond 22.05.2024 22.11.2028
NO0013152447 Siljan komm 4,885% CERT 364 140225 864953042 CD 16.02.2024 14.02.2025
NO0012460007 Silver Retail AS 22/27 4,32% C 928122573 Bond 15.03.2022 15.03.2027
NO0012459991 Silver Retail AS 22/27 FRN C 928122573 Bond 15.03.2022 15.03.2027
NO0010559222 Siso Energi AS 10/30 6,02% 986530673 Bond 04.01.2010 04.01.2030
NO0010754682 Sjølivet Eiendom AS 15/25 3,75% C 921564651 Bond 22.12.2015 22.12.2025
NO0010876634 SRSB33 PRO Skagerrak Spb 20/25 FRN 937891245 Bond 06.03.2020 06.03.2025
NO0010911837 SRSB14 PRO Skagerrak Spb 20/25 FRN 937891245 Bond 09.12.2020 09.12.2025
NO0010922933 SRSB15 PRO Skagerrak Spb 21/25 FRN 937891245 Bond 04.02.2021 04.02.2025
NO0010921612 SRSB34 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 05.02.2021 05.02.2026
NO0010984263 SRSB35 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 22.04.2021 08.04.2026
NO0011011181 SRSB27 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 27.05.2021 27.05.2026
NO0011017121 SRSB16 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 08.06.2021 08.06.2026
NO0011084014 SRSB37 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 31.08.2021 31.08.2026
NO0011129561 SRSB18 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 19.10.2021 19.10.2026
NO0011172280 SRSB38 PRO Skagerrak Spb 21/26 FRN 937891245 Bond 14.12.2021 14.12.2026
NO0010984982 SRSB36 PRO Skagerrak Spb 21/31 FRN STEP C SUB 937891245 Tier 2 22.04.2021 22.04.2031
NO0011024598 SRSB17 PRO Skagerrak Spb 21/31 FRN STEP C SUB 937891245 Tier 2 16.06.2021 16.06.2031
NO0011096281 SRSB28 PRO Skagerrak Spb 21/31 FRN STEP C SUB 937891245 Tier 2 10.09.2021 10.09.2031
NO0012444605 SRSB39 PRO Skagerrak Spb 22/25 FRN 937891245 Bond 15.02.2022 15.08.2025
NO0012525023 SRSB29 PRO Skagerrak Spb 22/25 FRN 937891245 Bond 19.05.2022 19.05.2025
NO0012654518 SRSB19 PRO Skagerrak Spb 22/25 FRN 937891245 Bond 29.08.2022 29.08.2025
NO0012672817 SRSB30 PRO Skagerrak Spb 22/25 FRN 937891245 Bond 05.09.2022 05.09.2025
NO0012444613 SRSB40 PRO Skagerrak Spb 22/27 FRN 937891245 Bond 15.02.2022 15.02.2027
NO0012759085 SRSB20 PRO Skagerrak Spb 22/PERP FRN STEP C HYBRID 937891245 Tier 1 24.11.2022 24.11.2099
NO0012822784 SRSB31 PRO Skagerrak Spb 23/26 FRN 937891245 Bond 25.01.2023 25.09.2026
NO0012984857 SRSB42 PRO Skagerrak Spb 23/26 FRN 937891245 Bond 07.08.2023 06.08.2026
NO0012916123 SRSB22 PRO Skagerrak Spb 23/27 FRN 937891245 Bond 10.05.2023 10.05.2027
NO0013030965 SRSB23 PRO Skagerrak Spb 23/27 FRN 937891245 Bond 05.10.2023 05.10.2027
NO0012820622 SRSB41 PRO Skagerrak Spb 23/28 FRN 937891245 Bond 23.01.2023 03.02.2028
NO0012832239 SRSB21 PRO Skagerrak Spb 23/PERP FRN C HYBRID 937891245 Tier 1 03.02.2023 03.02.2099
NO0012918764 SRSB32 PRO Skagerrak Spb 23/PERP FRN STEP C HYBRID 937891245 Tier 1 22.05.2023 22.05.2099
NO0013339770 SRSB25 PRO Skagerrak Spb 24/28 FRN 937891245 Bond 20.09.2024 20.09.2028
NO0013351155 SRSB26 PRO Skagerrak Spb 24/29 FRN 937891245 Bond 24.09.2024 24.09.2029
NO0013319335 SRSB24 PRO Skagerrak Spb 24/34 FRN C SUB 937891245 Tier 2 27.08.2024 27.11.2034
NO0012991415 SKKO10 Skien komm 23/25 FRN 938759839 Bond 21.08.2023 21.08.2025
NO0013023432 SKKO11 Skien komm 23/26 FRN 938759839 Bond 21.09.2023 23.03.2026
NO0013406462 SKKO14 Skien komm 24/26 4,535% 938759839 Bond 18.11.2024 18.11.2026
NO0013402461 SKKO13 Skien komm 24/26 FRN 938759839 Bond 12.11.2024 12.11.2026
NO0013162735 SKKO12 Skien komm 24/29 4,499% 938759839 Bond 19.02.2024 19.02.2029
NO0013339739 Skien komm 4,449% CERT 365 190925 938759839 CD 19.09.2024 19.09.2025
NO0013387886 Skien komm 4,64% CERT 049 201224 938759839 CD 01.11.2024 20.12.2024
NO0013360545 Skien komm 4,744% CERT 212 070525 938759839 CD 07.10.2024 07.05.2025
NO0013187138 Skien komm 4,883% CERT 365 250325 938759839 CD 25.03.2024 25.03.2025
NO0011025744 SKASB24 PRO Skudenes & Spb 21/PERP FRN STEP C HYBRID 937896670 Tier 1 16.06.2021 16.06.2099
NO0010891799 SKASB22 PRO Skudenes & Aakra Spb 20/25 FRN 937896670 Bond 27.08.2020 14.03.2025
NO0010917800 SKASB23 PRO Skudenes & Aakra Spb 21/25 FRN 937896670 Bond 14.01.2021 14.11.2025
NO0011161499 SKASB25 PRO Skudenes & Aakra Spb 21/26 FRN 937896670 Bond 26.11.2021 26.03.2026
NO0012933532 SKASB26 PRO Skudenes & Aakra Spb 23/27 FRN 937896670 Bond 02.06.2023 15.10.2027
NO0012994351 SKASB27 PRO Skudenes & Aakra Spb 23/33 FRN C SUB 937896670 Tier 2 24.08.2023 24.11.2033
NO0013229245 SKASB28 PRO Skudenes & Aakra Spb 24/28 FRN 937896670 Bond 15.05.2024 15.09.2028
NO0013229252 SKASB29 PRO Skudenes & Aakra Spb 24/29 FRN 937896670 Bond 15.05.2024 15.03.2029
NO0013389569 SKASB30 PRO Skudenes & Aakra Spb 24/29 FRN 937896670 Bond 07.11.2024 07.11.2029
NO0010826662 HJGSB14 PRO Skue Spb 18/28 FRN 837889812 Bond 20.06.2018 20.06.2028
NO0010873565 SKUE22 PRO Skue Spb 20/25 FRN 837889812 Bond 22.01.2020 22.04.2025
NO0010875461 SKUE23 PRO Skue Spb 20/25 FRN 837889812 Bond 19.02.2020 19.11.2025
NO0010890874 HJGSB19 PRO Skue Spb 20/25 FRN 837889812 Bond 14.08.2020 14.08.2025
NO0010977200 SKUE27 PRO Skue Spb 21/26 FRN 837889812 Bond 14.04.2021 14.04.2026
NO0011100778 SKUE30 PRO Skue Spb 21/26 FRN 837889812 Bond 15.09.2021 15.09.2026
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NO0013177949 SLR Group GmbH 24/27 FRN EUR FLOOR C HRB 750601 Bond 09.04.2024 09.10.2027
NO0012450602 Smallville AB NO0010843600 RD 200222 559169-5233 Claim, Redemption 21.02.2022 20.02.2099
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NO0011117129 Snack Properties AS 21/26 5,28% C 927033453 Bond 06.10.2021 06.10.2026
XS0765449995 XS0765449995 SNCF RESEAU 12/32 5,00% NOK 412280737 Bond 30.03.2012 30.03.2032
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FR0014008PV1 FR0014008PV1 Société Générale SA 22/34 3,175% NOK 552120222 Bond 24.02.2022 24.02.2034
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NO0010822984 SFEN46 ESG Sogn og Fjordane Energi AS 18/25 3,00% 984882092 Bond 23.05.2018 23.05.2025
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NO0010849987 SFEN50 ESG Sogn og Fjordane Energi AS 19/27 2,85% 984882092 Bond 26.04.2019 26.04.2027
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NO0011151888 SOLKO05 Sola komm 21/26 2,005% 948243113 Bond 15.11.2021 13.11.2026
NO0013335661 SOLKO06 Sola komm 24/26 FRN 948243113 Bond 16.09.2024 16.09.2026
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NO0013209213 Solis Bond Compan NO0010914914 IN 080424 679734 Claim, Interest 08.04.2024 08.04.2099
NO0013302430 Solis Bond Compan NO0010914914 IN 080724 679734 Claim, Interest 08.07.2024 08.07.2099
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NO0012694316 NO0012694316 Spar Nord Bank A/S 22/27 FRN 13737584 Tier 3 09.09.2022 09.09.2027
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XS1711382058 XS1711382058 Spb 1 Nord-Norge 17/32 1,615% 952706365 Bond 02.11.2017 02.11.2032
XS1555568978 Spb 1 Nord-Norge 17/32 1,70% 952706365 Bond 26.01.2017 26.01.2032
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XS1961820047 XS1961820047 Spb 1 Nord-Norge 19/34 1,58% 952706365 Bond 13.03.2019 13.03.2034
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XS2491552761 Spb 1 Nord-Norge 22/25 1,82% 952706365 Bond 15.06.2022 15.05.2025
XS2527587807 XS2527587807 Spb 1 Nord-Norge 22/25 2,26% 952706365 Bond 29.08.2022 29.08.2025
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NO0010860869 RING43 PRO Spb 1 Ringerike Hadeland 19/25 2,08% 937889275 Bond 21.08.2019 21.08.2025
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NO0010874886 RING46 PRO Spb 1 Ringerike Hadeland 20/26 FRN 937889275 Bond 10.02.2020 10.02.2026
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NO0013033746 RING54 PRO Spb 1 Ringerike Hadeland 23/29 5,33% 937889275 Bond 06.10.2023 06.03.2029
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XS1708121824 XS1708121824 Spb 1 SMN 17/29 1,456% 937901003 Bond 26.10.2017 26.10.2029
XS1634435207 XS1634435207 Spb 1 SMN 17/32 1,665% 937901003 Bond 21.06.2017 21.06.2032
XS1756330491 XS1756330491 Spb 1 SMN 18/33 1,61% 937901003 Bond 22.01.2018 24.01.2033
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XS2051032444 XS2051032444 Spb 1 SMN 19/26 0,125% 937901003 Bond 11.09.2019 11.09.2026
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XS2303089697 XS2303089697 Spb 1 SMN 21/28 0,01% 937901003 Bond 18.02.2021 18.02.2028
XS2568332394 XS2568332394 Spb 1 SMN 22/24 FRN 937901003 Bond 16.12.2022 16.12.2024
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NO0012629411 MING109 PRO ESG Spb 1 SMN 22/27 FRN 937901003 Tier 3 26.08.2022 26.08.2027
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NO0013024984 MING120 PRO Spb 1 SMN 23/26 FRN 937901003 Tier 3 02.10.2023 02.10.2026
NO0013010454 MING119 PRO Spb 1 SMN 23/28 FRN 937901003 Tier 3 05.09.2023 05.09.2028
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XS1906312738 XS1906312738 Spb 1 Sør-Norge ASA 18/33 1,67% 937895321 Bond 09.11.2018 09.11.2033
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NO0011079782 SB1NO95 PRO Spb 1 Sør-Norge ASA 21/26 FRN 937895321 Bond 25.08.2021 25.08.2026
NO0011179731 SB1NO88 PRO ESG Spb 1 Sør-Norge ASA 21/26 FRN 937895321 Bond 20.12.2021 20.11.2026
XS2363982344 XS2363982344 Spb 1 Sør-Norge ASA 21/27 0,375% 937895321 Tier 3 15.07.2021 15.07.2027
NO0011135089 SB1NO87 PRO Spb 1 Sør-Norge ASA 21/27 2,30% 937895321 Bond 22.10.2021 22.04.2027
NO0011094757 SB1NO85 PRO Spb 1 Sør-Norge ASA 21/27 ADJ C 937895321 Tier 3 09.09.2021 08.10.2027
NO0010917826 SB1NO83 PRO Spb 1 Sør-Norge ASA 21/27 FRN C 937895321 Tier 3 19.01.2021 26.01.2027
NO0011026437 SB1NO84 PRO Spb 1 Sør-Norge ASA 21/27 FRN STEP C 937895321 Tier 3 17.06.2021 17.08.2027
NO0010966237 SB1NO43 PRO Spb 1 Sør-Norge ASA 21/28 2,20% 937895321 Tier 3 06.04.2021 06.04.2028
NO0010968514 SB1NO44 PRO Spb 1 Sør-Norge ASA 21/28 FRN STEP 937895321 Tier 3 06.04.2021 06.04.2028
NO0010956865 SB1NO94 PRO Spb 1 Sør-Norge ASA 21/31 FRN STEP C SUB 937895321 Tier 2 25.03.2021 25.03.2031
NO0011108904 SB1NO86 PRO Spb 1 Sør-Norge ASA 21/31 FRN STEP C SUB 937895321 Tier 2 29.09.2021 29.09.2031
XS2395575892 XS2395575892 Spb 1 Sør-Norge ASA 21/36 1,02% C 937895321 Bond 08.10.2021 08.10.2036
XS2561633145 XS2561633145 Spb 1 Sør-Norge ASA 22/24 FRN 937895321 Bond 01.12.2022 01.12.2024
XS2534276808 XS2534276808 Spb 1 Sør-Norge ASA 22/25 2,875% 937895321 Bond 20.09.2022 20.09.2025
XS2569853067 XS2569853067 Spb 1 Sør-Norge ASA 22/25 3,50% 937895321 Bond 22.12.2022 22.12.2025
NO0012635145 SB1NO98 PRO ESG Spb 1 Sør-Norge ASA 22/25 FRN 937895321 Tier 3 25.08.2022 25.08.2025
NO0012747866 SB1NO49 PRO Spb 1 Sør-Norge ASA 22/25 FRN 937895321 Bond 07.11.2022 31.10.2025
XS2510793743 XS2510793743 Spb 1 Sør-Norge ASA 22/26 2,018% 937895321 Bond 29.07.2022 29.07.2026
XS2567401927 XS2567401927 Spb 1 Sør-Norge ASA 22/26 3,464% 937895321 Tier 3 15.12.2022 15.12.2026
NO0012552324 SB1NO47 PRO Spb 1 Sør-Norge ASA 22/27 3,90% 937895321 Bond 16.06.2022 16.06.2027
NO0012552365 SB1NO96 PRO Spb 1 Sør-Norge ASA 22/27 3,99% 937895321 Bond 16.06.2022 16.09.2027
NO0011199390 SB1NO90 PRO Spb 1 Sør-Norge ASA 22/27 FRN 937895321 Bond 14.01.2022 14.01.2027
NO0012750761 SB1NO50 PRO Spb 1 Sør-Norge ASA 22/27 FRN 937895321 Bond 11.11.2022 11.11.2027
NO0012708777 SB1NO48 Spb 1 Sør-Norge ASA 22/28 4,60% 937895321 Bond 27.09.2022 27.09.2028
NO0012753633 SB1NO101 PRO Spb 1 Sør-Norge ASA 22/28 4,83% 937895321 Bond 15.11.2022 15.11.2028
NO0012757659 SB1NO52 PRO Spb 1 Sør-Norge ASA 22/28 5,175% 937895321 Tier 3 21.11.2022 21.11.2028
NO0012703380 SB1NO99 PRO ESG Spb 1 Sør-Norge ASA 22/28 FRN 937895321 Bond 20.09.2022 10.02.2028
NO0012755828 SB1NO51 PRO Spb 1 Sør-Norge ASA 22/28 FRN 937895321 Bond 15.11.2022 15.11.2028
NO0012757642 SB1NO53 PRO Spb 1 Sør-Norge ASA 22/28 FRN 937895321 Tier 3 21.11.2022 21.11.2028
NO0011204976 SB1NO89 PRO Spb 1 Sør-Norge ASA 22/28 FRN STEP C 937895321 Tier 3 20.01.2022 15.02.2028
NO0012513466 SB1NO92 PRO Spb 1 Sør-Norge ASA 22/28 FRN STEP C 937895321 Tier 3 03.05.2022 03.05.2028
NO0012704164 SB1NO100 PRO ESG Spb 1 Sør-Norge ASA 22/29 4,65% 937895321 Bond 26.09.2022 26.09.2029
NO0012495979 SB1NO91 PRO Spb 1 Sør-Norge ASA 22/32 FRN C SUB 937895321 Tier 2 12.04.2022 12.07.2032
XS2445847648 Spb 1 Sør-Norge ASA 22/42 1,65% 937895321 Bond 24.02.2022 24.02.2042
NO0012555558 SB1NO97 PRO Spb 1 Sør-Norge ASA 22/PERP FRN C HYBRID 937895321 Tier 1 23.06.2022 23.06.2099
XS2693296290 XS2693296290 Spb 1 Sør-Norge ASA 23/25 FRN SEK 937895321 Bond 22.09.2023 22.09.2025
NO0013027938 SB1NO110 PRO ESG Spb 1 Sør-Norge ASA 23/26 FRN 937895321 Tier 3 28.09.2023 28.09.2026
XS2579319513 XS2579319513 Spb 1 Sør-Norge ASA 23/27 3,75% 937895321 Bond 23.01.2023 23.11.2027
XS2671251127 XS2671251127 Spb 1 Sør-Norge ASA 23/28 4,875% 937895321 Tier 3 24.08.2023 24.08.2028
NO0013010330 SB1NO108 PRO Spb 1 Sør-Norge ASA 23/28 5,67% 937895321 Tier 3 06.09.2023 06.09.2028
NO0012898651 SB1NO102 PRO Spb 1 Sør-Norge ASA 23/28 FRN 937895321 Tier 3 25.04.2023 25.04.2028
NO0013010322 SB1NO107 PRO Spb 1 Sør-Norge ASA 23/28 FRN 937895321 Tier 3 06.09.2023 06.09.2028
NO0013024067 SB1NO109 PRO ESG Spb 1 Sør-Norge ASA 23/28 FRN 937895321 Bond 26.09.2023 26.09.2028
NO0012939117 SB1NO105 PRO Spb 1 Sør-Norge ASA 23/29 FRN 937895321 Bond 09.06.2023 09.03.2029
NO0012990680 SB1NO106 PRO ESG Spb 1 Sør-Norge ASA 23/29 FRN 937895321 Bond 18.08.2023 18.06.2029
NO0012903402 SB1NO103 PRO ESG Spb 1 Sør-Norge ASA 23/30 4,43% 937895321 Bond 02.05.2023 02.05.2030
NO0012839010 SB1NO54 PRO Spb 1 Sør-Norge ASA 23/33 FRN C SUB 937895321 Tier 2 15.02.2023 15.08.2033
NO0012922519 SB1NO104 PRO Spb 1 Sør-Norge ASA 23/33 FRN C SUB 937895321 Tier 2 24.05.2023 24.08.2033
NO0012839036 SB1NO56 PRO Spb 1 Sør-Norge ASA 23/34 ADJ C SUB 937895321 Tier 2 15.02.2023 15.08.2034
NO0012839028 SB1NO55 PRO Spb 1 Sør-Norge ASA 23/34 FRN C SUB 937895321 Tier 2 15.02.2023 15.08.2034
NO0012945296 SB1NO59 PRO Spb 1 Sør-Norge ASA 23/PERP ADJ C HYBRID 937895321 Tier 1 21.06.2023 21.06.2099
NO0013012542 SB1NO61 PRO Spb 1 Sør-Norge ASA 23/PERP ADJ C HYBRID 937895321 Tier 1 07.09.2023 07.09.2099
NO0012862699 SB1NO57 PRO Spb 1 Sør-Norge ASA 23/PERP FRN C HYBRID 937895321 Tier 1 14.03.2023 14.03.2099
NO0012945304 SB1NO58 PRO Spb 1 Sør-Norge ASA 23/PERP FRN C HYBRID 937895321 Tier 1 21.06.2023 21.06.2099
NO0013012534 SB1NO60 PRO Spb 1 Sør-Norge ASA 23/PERP FRN C HYBRID 937895321 Tier 1 07.09.2023 07.09.2099
NO0013105163 SB1NO62 PRO Spb 1 Sør-Norge ASA 23/PERP FRN C HYBRID 937895321 Tier 1 22.12.2023 22.12.2099
NO0013324152 SB1NO112 PRO Spb 1 Sør-Norge ASA 24/27 FRN 937895321 Bond 30.08.2024 30.08.2027
XS2820438401 XS2820438401 Spb 1 Sør-Norge ASA 24/29 3,375% 937895321 Bond 14.05.2024 14.11.2029
XS2781419424 XS2781419424 Spb 1 Sør-Norge ASA 24/29 3,625% 937895321 Bond 12.03.2024 12.03.2029
NO0013163485 SB1NO65 PRO Spb 1 Sør-Norge ASA 24/29 4,81% 937895321 Bond 22.02.2024 22.02.2029
NO0013163477 SB1NO64 PRO Spb 1 Sør-Norge ASA 24/29 FRN 937895321 Bond 22.02.2024 22.02.2029
NO0013182816 SB1NO66 PRO Spb 1 Sør-Norge ASA 24/34 4,35% 937895321 Bond 20.03.2024 20.03.2034
NO0013150227 SB1NO63 PRO Spb 1 Sør-Norge ASA 24/34 FRN STEP C SUB 937895321 Tier 2 14.02.2024 14.08.2034
XS2803588271 XS2803588271 Spb 1 Sør-Norge ASA 24/35 3,46% 937895321 Bond 16.04.2024 16.04.2035
NO0013325456 SB1NO69 PRO Spb 1 Sør-Norge ASA 24/35 FRN C SUB 937895321 Tier 2 05.09.2024 05.03.2035
NO0013190975 SB1NO67 PRO Spb 1 Sør-Norge ASA 24/36 ADJ C SUB 937895321 Tier 2 03.04.2024 03.04.2036
XS2795576201 XS2795576201 Spb 1 Sør-Norge ASA 24/44 4,043% C 937895321 Bond 04.04.2024 04.04.2044
NO0013188649 SB1NO111 PRO Spb 1 Sør-Norge ASA 24/PERP FRN C HYBRID 937895321 Tier 1 26.03.2024 26.03.2099
NO0013331181 SB1NO70 PRO Spb 1 Sør-Norge ASA 24/PERP FRN C HYBRID 937895321 Tier 1 12.09.2024 12.09.2099
XS0080479958 Spb 1 Sør-Norge ASA 97/49 FRN USD C 937895321 Bond 31.10.1997 31.12.2049
NO0012841834 SOAG33 PRO Spb 1 Østfold Akers 23/33 FRN STEP C SUB 837884942 Tier 2 16.02.2023 16.02.2033
NO0012948894 SOAG34 PRO Spb 1 Østfold Akers 23/PERP FRN C HYBRID 837884942 Tier 1 27.06.2023 27.06.2099
NO0010873532 SOAG23 PRO Spb 1 Østfold Akershus 20/25 2,30% 837884942 Bond 24.01.2020 24.04.2025
NO0010886849 SOAG25 PRO Spb 1 Østfold Akershus 20/25 FRN 837884942 Bond 30.06.2020 30.12.2025
NO0010895527 SOAG26 PRO Spb 1 Østfold Akershus 20/26 1,36% 837884942 Bond 13.10.2020 13.10.2026
NO0011083354 SOAG29 PRO Spb 1 Østfold Akershus 21/25 FRN 837884942 Bond 26.08.2021 26.08.2025
NO0010923188 SOAG27 PRO Spb 1 Østfold Akershus 21/28 1,73% 837884942 Bond 08.02.2021 08.02.2028
NO0010923246 SOAG28 PRO Spb 1 Østfold Akershus 21/31 1,95% 837884942 Bond 10.02.2021 10.02.2031
NO0012550120 SOAG30 PRO ESG Spb 1 Østfold Akershus 22/27 3,93% 837884942 Bond 16.06.2022 16.06.2027
NO0012758384 SOAG31 PRO Spb 1 Østfold Akershus 22/28 FRN 837884942 Bond 21.11.2022 21.11.2028
NO0013022640 SOAG35 PRO Spb 1 Østfold Akershus 23/27 FRN 837884942 Bond 20.09.2023 20.09.2027
NO0012907502 SOAG32 PRO Spb 1 Østfold Akershus 23/30 4,32% 837884942 Bond 03.05.2023 03.05.2030
NO0013318683 SOAG40 PRO Spb 1 Østfold Akershus 24/27 FRN 837884942 Bond 23.08.2024 23.11.2027
NO0013215491 SOAG39 PRO Spb 1 Østfold Akershus 24/29 4,85% 837884942 Bond 22.04.2024 22.10.2029
NO0013145060 SOAG36 PRO ESG Spb 1 Østfold Akershus 24/29 FRN 837884942 Bond 07.02.2024 07.02.2029
NO0013161869 SOAG37 PRO Spb 1 Østfold Akershus 24/34 ADJ C SUB 837884942 Tier 2 20.02.2024 22.08.2034
NO0013190991 SOAG38 PRO Spb 1 Østfold Akershus 24/34 ADJ C SUB 837884942 Tier 2 27.03.2024 27.06.2034
NO0010885049 SPOL61 PRO Spb 1 Østlande 20/PERP FRN STEP C HYBRID 920426530 Tier 1 16.06.2020 16.06.2099
NO0011108896 SPOL65 PRO Spb 1 Østlande 21/PERP FRN STEP C HYBRID 920426530 Tier 1 29.09.2021 29.09.2099
NO0010758105 SPOL40 PRO Spb 1 Østlandet 16/26 2,90% 920426530 Bond 26.02.2016 26.02.2026
NO0010806607 SPOL48 PRO Spb 1 Østlandet 17/27 2,62% 920426530 Bond 29.09.2017 29.09.2027
NO0010793268 SPOL45 PRO Spb 1 Østlandet 17/27 2,665% 920426530 Bond 18.05.2017 18.05.2027
XS1615060958 XS1615060958 Spb 1 Østlandet 17/28 1,325% 920426530 Bond 18.05.2017 18.05.2028
XS1697911557 XS1697911557 Spb 1 Østlandet 17/29 1,462% 920426530 Bond 11.10.2017 11.10.2029
XS1731100142 XS1731100142 Spb 1 Østlandet 17/30 1,415% 920426530 Bond 05.12.2017 05.12.2030
XS1718495192 XS1718495192 Spb 1 Østlandet 17/32 1,597% 920426530 Bond 17.11.2017 17.11.2032
XS1715328339 XS1715328339 Spb 1 Østlandet 17/32 1,63% 920426530 Bond 09.11.2017 09.11.2032
XS1759999227 XS1759999227 Spb 1 Østlandet 18/25 0,95% 920426530 Bond 25.01.2018 03.02.2025
XS1752915717 XS1752915717 Spb 1 Østlandet 18/32 1,622% 920426530 Bond 18.01.2018 18.10.2032
XS1750033554 XS1750033554 Spb 1 Østlandet 18/33 1,591% 920426530 Bond 12.01.2018 12.01.2033
XS1876547263 XS1876547263 Spb 1 Østlandet 18/33 1,592% 920426530 Bond 06.09.2018 06.09.2033
XS1823514408 XS1823514408 Spb 1 Østlandet 18/33 1,70% 920426530 Bond 23.05.2018 23.05.2033
XS1778933405 XS1778933405 Spb 1 Østlandet 18/33 1,84% 920426530 Bond 22.02.2018 22.02.2033
NO0010816614 SPOL51 PRO Spb 1 Østlandet 18/33 2,99% 920426530 Bond 21.02.2018 21.02.2033
NO0010844004 SPOL55 PRO Spb 1 Østlandet 19/25 2,54% 920426530 Bond 26.02.2019 26.02.2025
XS1978592530 Spb 1 Østlandet 19/29 1,01% 920426530 Bond 08.04.2019 16.07.2029
XS1978592456 XS1978592456 Spb 1 Østlandet 19/29 1,016% 920426530 Bond 08.04.2019 16.07.2029
XS1957531137 XS1957531137 Spb 1 Østlandet 19/34 1,575% 920426530 Bond 28.02.2019 28.02.2034
XS1941714989 XS1941714989 Spb 1 Østlandet 19/34 1,75% 920426530 Bond 30.01.2019 30.01.2034
NO0010874019 SPOL59 PRO Spb 1 Østlandet 20/25 2,27% 920426530 Bond 29.01.2020 29.10.2025
NO0010874001 SPOL58 PRO Spb 1 Østlandet 20/25 FRN 920426530 Bond 29.01.2020 29.04.2025
NO0010890262 SPOL91 PRO Spb 1 Østlandet 20/25 FRN 920426530 Bond 14.08.2020 14.03.2025
NO0010886831 SPOL60 PRO Spb 1 Østlandet 20/26 FRN C 920426530 Tier 3 02.07.2020 02.07.2026
NO0010893639 SPOL62 PRO Spb 1 Østlandet 20/26 FRN STEP C 920426530 Tier 3 17.09.2020 17.09.2026
NO0010977234 SPOL93 PRO Spb 1 Østlandet 21/25 FRN 920426530 Bond 14.04.2021 14.08.2025
NO0011167801 SPOL68 PRO Spb 1 Østlandet 21/26 2,00% 920426530 Bond 09.12.2021 09.06.2026
NO0011152431 SPOL95 PRO Spb 1 Østlandet 21/26 2,18% 920426530 Bond 17.11.2021 26.10.2026
NO0010917446 SPOL92 PRO Spb 1 Østlandet 21/26 FRN 920426530 Bond 13.01.2021 13.03.2026
NO0010996481 SPOL94 PRO Spb 1 Østlandet 21/27 1,97% 920426530 Bond 06.05.2021 27.04.2027
XS2308586911 XS2308586911 Spb 1 Østlandet 21/28 0,125% 920426530 Bond 03.03.2021 03.03.2028
NO0011127714 SPOL67 PRO Spb 1 Østlandet 21/28 2,25% 920426530 Bond 13.10.2021 13.10.2028
NO0011035321 SPOL63 PRO Spb 1 Østlandet 21/28 ADJ C 920426530 Tier 3 28.06.2021 28.06.2028
NO0011123473 SPOL66 PRO Spb 1 Østlandet 21/31 2,4275% 920426530 Bond 13.10.2021 13.10.2031
NO0011202822 SPOL70 PRO Spb 1 Østlandet 22/26 2,33% 920426530 Bond 17.01.2022 17.11.2026
XS2472845911 XS2472845911 Spb 1 Østlandet 22/27 1,75% 920426530 Bond 27.04.2022 27.04.2027
NO0012702614 SPOL71 PRO ESG Spb 1 Østlandet 22/27 4,50% 920426530 Bond 22.09.2022 22.09.2027
NO0012696527 SPOL97 PRO Spb 1 Østlandet 22/27 4,70% 920426530 Bond 08.09.2022 08.09.2027
NO0011202814 SPOL69 PRO Spb 1 Østlandet 22/27 FRN 920426530 Bond 17.01.2022 17.02.2027
NO0012702606 SPOL72 PRO ESG Spb 1 Østlandet 22/27 FRN 920426530 Bond 22.09.2022 22.09.2027
NO0012721820 SPOL74 PRO Spb 1 Østlandet 22/27 FRN 920426530 Tier 3 13.10.2022 13.10.2027
NO0012780925 SPOL98 PRO Spb 1 Østlandet 22/28 FRN 920426530 Bond 14.12.2022 28.01.2028
NO0012518234 SPOL96 PRO Spb 1 Østlandet 22/32 FRN C SUB 920426530 Tier 2 10.05.2022 10.08.2032
NO0012720939 SPOL73 PRO Spb 1 Østlandet 22/33 FRN STEP C SUB 920426530 Tier 2 12.10.2022 12.01.2033
NO0012818006 SPOL76 PRO Spb 1 Østlandet 23/28 4,335% 920426530 Tier 3 24.01.2023 24.01.2028
NO0012940396 SPOL79 PRO ESG Spb 1 Østlandet 23/28 5,407% 920426530 Tier 3 15.06.2023 15.06.2028
NO0013008706 SPOL81 PRO Spb 1 Østlandet 23/28 5,63% 920426530 Tier 3 05.09.2023 05.09.2028
NO0012817990 SPOL75 PRO Spb 1 Østlandet 23/28 FRN 920426530 Tier 3 24.01.2023 24.01.2028
NO0012916800 SPOL99 PRO Spb 1 Østlandet 23/28 FRN 920426530 Bond 12.05.2023 12.05.2028
NO0012940404 SPOL78 PRO ESG Spb 1 Østlandet 23/28 FRN 920426530 Tier 3 15.06.2023 15.06.2028
NO0013012591 SPOL80 PRO Spb 1 Østlandet 23/28 FRN 920426530 Tier 3 08.09.2023 08.09.2028
NO0013023416 SPOL100 PRO Spb 1 Østlandet 23/28 FRN 920426530 Bond 21.09.2023 21.09.2028
NO0013054155 SPOL101 PRO Spb 1 Østlandet 23/29 5,21% 920426530 Bond 24.10.2023 24.04.2029
NO0013022632 SPOL82 PRO Spb 1 Østlandet 23/33 4,90% 920426530 Bond 21.09.2023 21.09.2033
NO0012843053 SPOL77 PRO Spb 1 Østlandet 23/33 FRN STEP C SUB 920426530 Tier 2 22.02.2023 22.11.2033
XS2828914767 XS2828914767 Spb 1 Østlandet 24/29 3,625% 920426530 Bond 30.05.2024 30.05.2029
NO0013275198 SPOL88 PRO Spb 1 Østlandet 24/29 4,80% 920426530 Tier 3 04.07.2024 20.03.2029
NO0013266783 SPOL87 PRO Spb 1 Østlandet 24/29 FRN 920426530 Tier 3 25.06.2024 25.06.2029
NO0013311944 SPOL89 PRO Spb 1 Østlandet 24/29 FRN 920426530 Tier 3 15.08.2024 15.11.2029
NO0013256156 SPOL85 PRO Spb 1 Østlandet 24/34 ADJ C SUB 920426530 Tier 2 12.06.2024 12.12.2034
NO0013153411 SPOL83 PRO Spb 1 Østlandet 24/34 FRN C SUB 920426530 Tier 2 16.02.2024 16.08.2034
NO0013214031 SPOL102 PRO Spb 1 Østlandet 24/34 FRN C SUB 920426530 Tier 2 23.04.2024 23.10.2034
NO0013261107 SPOL86 PRO Spb 1 Østlandet 24/PERP ADJ C HYBRID 920426530 Tier 1 18.06.2024 18.06.2099
NO0013162776 SPOL84 PRO Spb 1 Østlandet 24/PERP FRN C HYBRID 920426530 Tier 1 22.02.2024 22.02.2099
NO0013214130 SPOL103 PRO Spb 1 Østlandet 24/PERP FRN C HYBRID 920426530 Tier 1 23.04.2024 23.04.2099
NO0013365049 Spb 1 Østlandet 4,90% CERT 094 130125 920426530 CD 11.10.2024 13.01.2025
NO0013260380 Spb 1 Østlandet FRN CERT 365 130625 920426530 CD 13.06.2024 13.06.2025
NO0010865413 HARSB20 PRO Spb 68 grader Nord 19/25 FRN 937905378 Bond 30.09.2019 27.03.2025
NO0010884976 HARSB22 PRO Spb 68 grader Nord 20/24 FRN 937905378 Bond 10.06.2020 10.12.2024
NO0010884984 HARSB21 PRO Spb 68 grader Nord 20/25 FRN 937905378 Bond 10.06.2020 10.06.2025
NO0010908866 HARSB23 PRO Spb 68 grader Nord 20/25 FRN 937905378 Bond 30.11.2020 28.11.2025
NO0010941164 HARSB25 PRO Spb 68 grader Nord 21/26 FRN 937905378 Bond 26.02.2021 26.02.2026
NO0010941214 HARSB24 PRO Spb 68 grader Nord 21/28 FRN 937905378 Bond 26.02.2021 25.02.2028
NO0012758483 HARSB26 PRO Spb 68 grader Nord 22/33 FRN STEP C SUB 937905378 Tier 2 22.11.2022 22.02.2033
NO0012811233 SB6801 PRO Spb 68 grader Nord 23/26 FRN 937905378 Bond 12.01.2023 12.08.2026
NO0012810490 SB6802 PRO Spb 68 grader Nord 23/27 FRN 937905378 Bond 13.01.2023 12.08.2027
NO0013005280 SB6803 PRO Spb 68 grader Nord 23/28 5,32% 937905378 Bond 28.08.2023 28.08.2028
NO0013104513 SB6804 PRO Spb 68 grader Nord 23/29 FRN 937905378 Bond 19.12.2023 19.11.2029
NO0013272237 SB6806 PRO Spb 68 grader Nord 24/29 4,69% 937905378 Bond 04.07.2024 04.07.2029
NO0013233783 SB6805 PRO Spb 68 grader Nord 24/29 FRN 937905378 Bond 22.05.2024 22.05.2029
NO0010873417 SBDIN12 PRO Spb DIN 20/25 FRN 937891512 Bond 16.01.2020 16.01.2025
NO0010968456 SBDIN15 PRO Spb DIN 21/28 FRN 937891512 Bond 30.03.2021 30.03.2028
NO0011101685 SBDIN16 PRO Spb DIN 21/PERP FRN C HYBRID 937891512 Tier 1 28.09.2021 28.09.2099
NO0012733486 SBDIN19 PRO Spb DIN 22/25 FRN 937891512 Bond 20.10.2022 20.10.2025
NO0012715038 SBDIN18 PRO Spb DIN 22/33 FRN STEP C SUB 937891512 Tier 2 06.10.2022 06.01.2033
NO0013097113 SBDIN20 PRO Spb DIN 23/29 FRN 937891512 Bond 12.12.2023 12.03.2029
NO0013235036 SBDIN21 PRO Spb DIN 24/27 FRN 937891512 Bond 21.05.2024 21.05.2027
NO0013249938 SBDIN22 PRO Spb DIN 24/27 FRN 937891512 Bond 28.05.2024 26.11.2027
NO0010904907 MORG52 PRO Spb Møre 20/25 1,28% 937899319 Bond 10.11.2020 10.11.2025
NO0010917933 MORG53 PRO Spb Møre 21/27 FRN STEP C 937899319 Tier 3 20.01.2021 20.01.2027
NO0012422916 MORG54 PRO ESG Spb Møre 22/28 FRN 937899319 Tier 3 25.01.2022 25.01.2028
NO0012490012 MORG55 PRO Spb Møre 22/32 FRN C SUB 937899319 Tier 2 06.04.2022 06.07.2032
NO0012526286 MORG56 PRO Spb Møre 22/PERP FRN C HYBRID 937899319 Tier 1 19.05.2022 19.05.2099
NO0012881145 MORG58 PRO Spb Møre 23/26 FRN 937899319 Bond 31.03.2023 31.03.2026
NO0013071571 MORG62 PRO Spb Møre 23/27 5,06% 937899319 Bond 17.11.2023 17.02.2027
NO0013058594 MORG60 PRO Spb Møre 23/27 5,59% 937899319 Tier 3 03.11.2023 03.05.2027
NO0013071563 MORG61 PRO Spb Møre 23/27 FRN 937899319 Bond 17.11.2023 17.02.2027
NO0013058602 MORG59 PRO Spb Møre 23/29 5,59% 937899319 Tier 3 02.11.2023 02.11.2029
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NO0013241133 MORG64 PRO ESG Spb Møre 24/29 FRN 937899319 Tier 3 28.05.2024 28.05.2029
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NO0011096505 NASB23 PRO Spb Narvik 21/26 FRN 937903979 Bond 14.09.2021 14.09.2026
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NO0013271130 NASB26 PRO Spb Narvik 24/29 FRN 937903979 Bond 28.06.2024 28.06.2029
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NO0010754849 SOR41 PRO Spb Sør 15/25 3,30% 937894538 Bond 23.12.2015 23.12.2025
NO0010872351 SOR60 PRO Spb Sør 19/24 2,44% 937894538 Bond 23.12.2019 23.12.2024
NO0010871247 SOR56 PRO Spb Sør 19/29 FRN C SUB 937894538 Tier 2 12.12.2019 12.12.2029
NO0010886781 SOR61 PRO Spb Sør 20/26 FRN C 937894538 Tier 3 30.06.2020 30.06.2026
NO0010887177 SOR62 PRO Spb Sør 20/30 FRN STEP C SUB 937894538 Tier 2 09.07.2020 09.07.2030
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NO0012703448 SOR73 PRO Spb Sør 22/26 FRN 937894538 Bond 21.09.2022 21.12.2026
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NO0012721804 SOR74 PRO Spb Sør 22/32 ADJ C SUB 937894538 Tier 2 13.10.2022 13.10.2032
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NO0013209833 SOR85 PRO Spb Sør 24/34 ADJ C SUB 937894538 Tier 2 16.04.2024 16.10.2034
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XS2069304033 XS2069304033 Spb Sør Boligkreditt AS 19/26 ADJ C COVD 992467002 Bond 24.10.2019 26.10.2026
XS2291901994 XS2291901994 Spb Sør Boligkreditt AS 21/28 0,01% COVD 992467002 Bond 28.01.2021 28.01.2028
XS2389362687 XS2389362687 Spb Sør Boligkreditt AS 21/28 ADJ C COVD 992467002 Bond 24.09.2021 25.09.2028
XS2555209381 XS2555209381 Spb Sør Boligkreditt AS 22/25 ADJ C COVD 992467002 Bond 14.11.2022 14.11.2025
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NO0013388454 SORB34 Spb Sør Boligkreditt AS 24/29 FRN C COVD 992467002 Bond 06.11.2024 06.11.2029
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NO0010872252 SVEG105 PRO Spb Vest 19/25 2,42% 832554332 Bond 23.12.2019 23.06.2025
NO0010871270 SVEG106 PRO Spb Vest 19/25 FRN 832554332 Bond 12.12.2019 12.03.2025
NO0010887268 SVEG108 PRO Spb Vest 20/26 ADJ C 832554332 Tier 3 09.07.2020 09.07.2026
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NO0011130221 SVEG116 PRO Spb Vest 21/31 FRN STEP C SUB 832554332 Tier 2 21.10.2021 21.10.2031
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NO0012539107 SVEG120 PRO ESG Spb Vest 22/25 FRN 832554332 Tier 3 03.06.2022 03.06.2025
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NO0012490053 SVEG117 PRO ESG Spb Vest 22/26 FRN 832554332 Bond 07.04.2022 07.04.2026
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NO0013104521 SVEG133 PRO Spb Vest 23/27 FRN 832554332 Bond 20.12.2023 05.02.2027
NO0013004549 SVEG127 PRO Spb Vest 23/28 FRN 832554332 Tier 3 29.08.2023 29.05.2028
NO0013095653 SVEG132 PRO Spb Vest 23/28 FRN 832554332 Bond 11.12.2023 10.03.2028
NO0013086793 SVEG131 PRO Spb Vest 23/29 4,99% 832554332 Tier 3 01.12.2023 01.03.2029
NO0012837048 SVEG123 PRO Spb Vest 23/33 FRN C SUB 832554332 Tier 2 10.02.2023 10.08.2033
NO0012990565 SVEG128 PRO Spb Vest 23/33 FRN STEP C SUB 832554332 Tier 2 22.08.2023 22.11.2033
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NO0013053470 SVEG129 PRO Spb Vest 23/PERP FRN C HYBRID 832554332 Tier 1 25.10.2023 25.10.2099
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NO0013117028 SVEG137 PRO Spb Vest 24/28 FRN 832554332 Tier 3 11.01.2024 20.10.2028
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XS2937252174 XS2937252174 Spb Vest Boligkr AS 24/29 FRN SEK C COVD 992710691 Bond 12.11.2024 18.12.2029
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XS2174487277 XS2174487277 Spb Vest Boligkredit AS 20/25 FRN C COVD 992710691 Bond 14.05.2020 14.05.2025
XS2199484929 XS2199484929 Spb Vest Boligkredit AS 20/27 ADJ C COVD 992710691 Bond 08.07.2020 28.06.2027
XS2397352233 XS2397352233 Spb Vest Boligkredit AS 21/26 ADJ C COVD 992710691 Bond 12.10.2021 11.11.2026
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NO0013331199 STHY14 Stadshypotek AB 24/29 FRN C COVD 556459-6715 Bond 12.09.2024 12.09.2029
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XS1525945181 XS1525945181 Starts (Ireland) Public 16/26 2,153% NOK 391541 Bond 08.12.2016 24.11.2026
NO0010741168 STAKR41 Statkraft AS 15/25 3,12% 987059699 Bond 08.07.2015 08.07.2025
NO0010729478 STAKR39 Statkraft AS 15/27 2,60% 987059699 Bond 21.01.2015 21.01.2027
XS1207005023 XS1207005023 Statkraft AS 15/30 1,50% C 987059699 Bond 26.03.2015 26.03.2030
XS1582205040 XS1582205040 Statkraft AS 17/25 1,125% C 987059699 Bond 20.03.2017 20.03.2025
NO0012541871 STAKR43 ESG Statkraft AS 22/27 3,625% 987059699 Bond 14.06.2022 14.06.2027
NO0012541442 STAKR42 ESG Statkraft AS 22/27 FRN 987059699 Bond 14.06.2022 14.06.2027
XS2532312548 XS2532312548 Statkraft AS 22/29 2,875% 987059699 Bond 13.09.2022 13.09.2029
NO0012541897 STAKR44 ESG Statkraft AS 22/32 3,93% 987059699 Bond 14.06.2022 14.06.2032
XS2723597923 XS2723597923 Statkraft AS 23/26 3,125% C 987059699 Bond 13.12.2023 13.12.2026
XS2726853554 XS2726853554 Statkraft AS 23/31 3,125% C 987059699 Bond 13.12.2023 13.12.2031
XS2631822868 XS2631822868 Statkraft AS 23/33 3,50% C 987059699 Bond 09.06.2023 09.06.2033
XS2924022366 XS2924022366 Statkraft AS 24/27 FRN SEK 987059699 Bond 22.10.2024 22.10.2027
XS2838919681 XS2838919681 Statkraft AS 24/28 3,398% SEK 987059699 Bond 14.06.2024 14.06.2028
XS2838917479 XS2838917479 Statkraft AS 24/28 FRN SEK 987059699 Bond 14.06.2024 14.06.2028
XS2779792337 XS2779792337 Statkraft AS 24/32 3,375% C 987059699 Bond 22.03.2024 22.03.2032
NO0013256115 STAKR45 ESG Statkraft AS 24/34 4,50% 987059699 Bond 14.06.2024 14.06.2034
NO0013378844 STAKR46 ESG Statkraft AS 24/35 4,597% 987059699 Bond 22.10.2024 22.10.2035
XS2903423411 XS2903423411 Statkraft AS 24/38 3,21% SEK 987059699 Bond 17.09.2024 17.09.2038
XS2779793061 XS2779793061 Statkraft AS 24/39 3,75% C 987059699 Bond 22.03.2024 22.03.2039
NO0010324544 STANE15 Statnett SF 06/25 4,97% 962986633 Bond 30.06.2006 30.06.2025
NO0010636061 STANE36 Statnett SF 12/27 4,85% 962986633 Bond 15.02.2012 15.02.2027
XS0942890848 XS0942890848 Statnett SF 13/26 2,375% 962986633 Bond 12.06.2013 12.06.2026
NO0010679756 STANE48 Statnett SF 13/29 4,05% 962986633 Bond 21.05.2013 16.01.2029
NO0010713340 STANE51 Statnett SF 14/29 3,75% 962986633 Bond 19.06.2014 19.06.2029
NO0010764939 STANE54 Statnett SF 16/31 2,81% 962986633 Bond 11.05.2016 12.05.2031
NO0010802978 STANE63 Statnett SF 17/29 2,65% 962986633 Bond 13.09.2017 13.09.2029
XS1706200463 XS1706200463 Statnett SF 17/30 1,25% C 962986633 Bond 27.10.2017 26.04.2030
NO0010788342 STANE60 Statnett SF 17/32 2,89% 962986633 Bond 15.03.2017 15.03.2032
XS1788494257 XS1788494257 Statnett SF 18/25 0,875% C 962986633 Bond 08.03.2018 08.03.2025
NO0011024333 STANE83 ESG Statnett SF 21/26 FRN 962986633 Bond 15.06.2021 15.06.2026
NO0011024341 STANE84 ESG Statnett SF 21/28 2,025% 962986633 Bond 15.06.2021 15.06.2028
NO0011021404 STANE82 Statnett SF 21/28 2,085% 962986633 Bond 15.06.2021 15.12.2028
XS2582544818 XS2582544818 Statnett SF 23/28 3,54% SEK 962986633 Bond 08.02.2023 08.02.2028
XS2631835332 XS2631835332 Statnett SF 23/33 3,50% C 962986633 Bond 08.06.2023 08.06.2033
XS2850513552 XS2850513552 Statnett SF 24/27 FRN SEK 962986633 Bond 28.06.2024 28.06.2027
NO0013266759 STANE90 ESG Statnett SF 24/29 FRN 962986633 Bond 28.06.2024 28.06.2029
NO0013266825 STANE91 ESG Statnett SF 24/32 4,365% 962986633 Bond 28.06.2024 28.06.2032
XS2768793676 XS2768793676 Statnett SF 24/36 3,375% C 962986633 Bond 26.02.2024 26.02.2036
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NO0010841455 STAVKO12 Stavanger komm 19/29 2,68% 964965226 Bond 15.01.2019 15.01.2029
NO0010872955 STAVKO15 Stavanger komm 20/25 FRN 964965226 Bond 13.01.2020 13.01.2025
NO0010882749 STAVKO14 Stavanger komm 20/25 FRN 964965226 Bond 15.05.2020 15.05.2025
NO0010874241 STAVKO13 Stavanger komm 20/27 FRN 964965226 Bond 29.01.2020 29.01.2027
NO0010921620 STAVKO16 Stavanger komm 21/26 FRN 964965226 Bond 29.01.2021 29.01.2026
NO0011107518 Stavanger komm 21/31 2,00% 964965226 Bond 21.09.2021 22.09.2031
NO0012735002 STAVKO17 Stavanger komm 22/27 FRN 964965226 Bond 24.10.2022 25.10.2027
NO0011202160 Stavanger komm 22/28 FRN 964965226 Bond 11.01.2022 11.01.2028
NO0012813130 STAVKO18 Stavanger komm 23/38 3,63% 964965226 Bond 16.01.2023 18.01.2038
NO0012931809 STAVKO19 Stavanger komm 23/38 4,10% 964965226 Bond 30.05.2023 31.05.2038
NO0013140087 STAVKO20 Stavanger komm 24/39 4,10% 964965226 Bond 26.01.2024 26.01.2039
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NO0012863812 Steinkjer komm 23/25 FRN 840029212 Bond 15.03.2023 17.09.2025
NO0012828872 Steinkjer komm 23/26 FRN 840029212 Bond 02.02.2023 18.03.2026
NO0013335422 STKO07 Steinkjer komm 24/26 FRN 840029212 Bond 18.09.2024 16.09.2026
NO0013182147 Steinkjer komm FRN CERT 365 200325 840029212 CD 20.03.2024 20.03.2025
NO0010863715 STBYG02 Steinkjerbygg KF 19/27 2,05% 914310148 Bond 18.09.2019 17.09.2027
NO0013181453 STBYG03 Steinkjerbygg KF 24/26 FRN 914310148 Bond 20.03.2024 18.03.2026
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NO0013334201 STBYG05 Steinkjerbygg KF 24/26 FRN 914310148 Bond 20.09.2024 16.09.2026
NO0013029470 Stiftelsen Diakonissehuset L 23/48 4,85% 979607229 Bond 29.09.2023 29.09.2048
NO0013355842 Stjørdal komm 4,61% CERT 364 031025 939958851 CD 04.10.2024 03.10.2025
XS2109608997 XS2109608997 Stockholms kommun 20/25 FRN NOK 212000-0142 Bond 27.01.2020 27.01.2025
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XS2418404765 XS2418404765 Stockholms kommun 21/26 FRN NOK 212000-0142 Bond 07.12.2021 07.12.2026
XS2420319894 XS2420319894 Stockholms kommun 21/27 FRN NOK 212000-0142 Bond 10.12.2021 10.12.2027
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XS2559015321 XS2559015321 Stockholms kommun 22/27 FRN NOK 212000-0142 Bond 22.11.2022 22.11.2027
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XS2733609056 XS2733609056 Stockholms kommun 23/28 FRN NOK 212000-0142 Bond 13.12.2023 13.12.2028
XS2793901724 XS2793901724 Stockholms kommun 24/29 FRN NOK 212000-0142 Bond 27.03.2024 27.03.2029
NO0013019026 SNI10 Stolt-Nielsen Limited 23/28 FRN FLOOR 44330 Bond 26.09.2023 26.09.2028
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NO0012842436 STDKO04 Stord komm 23/25 FRN 939866914 Bond 20.02.2023 20.02.2025
NO0012881152 STDKO05 Stord komm 23/28 3,755% 939866914 Bond 30.03.2023 30.03.2028
NO0013257568 STDKO06 Stord komm 24/26 FRN 939866914 Bond 11.06.2024 11.09.2026
NO0013361154 Stord komm 4,749% CERT 072 181224 939866914 CD 07.10.2024 18.12.2024
NO0013316018 Stord komm 4,83% CERT 212 200325 939866914 CD 20.08.2024 20.03.2025
NO0013406504 Stord komm 4,93% CERT 162 290425 939866914 CD 18.11.2024 29.04.2025
NO0013354019 Stord komm FRN CERT 364 260925 939866914 CD 27.09.2024 26.09.2025
NO0013260927 Storebrand AIF AS 24/29 6,29% C 833224972 Bond 20.06.2024 20.06.2029
NO0010892334 STB17 PRO Storebrand ASA 20/25 FRN 916300484 Bond 10.09.2020 10.09.2025
NO0013261115 STB18 PRO Storebrand ASA 24/29 FRN 916300484 Bond 18.06.2024 18.06.2029
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NO0012617697 STORB69 PRO Storebrand Bank ASA 22/25 FRN 953299216 Bond 15.08.2022 15.08.2025
NO0012626953 STORB70 PRO Storebrand Bank ASA 22/26 3,94% 953299216 Bond 19.08.2022 19.02.2026
NO0012446428 STORB68 PRO Storebrand Bank ASA 22/32 FRN C SUB 953299216 Tier 2 24.02.2022 24.05.2032
NO0012635111 Storebrand Bank ASA 22/PERP FRN C HYBRID 953299216 Tier 1 24.08.2022 24.08.2099
NO0012981630 STORB72 PRO Storebrand Bank ASA 23/26 FRN 953299216 Bond 07.08.2023 07.08.2026
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NO0013391672 STORB75 PRO Storebrand Bank ASA 24/27 FRN 953299216 Bond 19.11.2024 19.02.2027
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NO0013384024 Storebrand Bank ASA FRN CERT 365 301025 953299216 CD 30.10.2024 30.10.2025
NO0013095588 Storebrand Bank ASA FRN CERT 366 061224 953299216 CD 06.12.2023 06.12.2024
NO0010894199 STORK16 Storebrand Boli AS 20/25 FRN STEP C COVD 990645515 Bond 25.09.2020 25.06.2025
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NO0012531740 STORL10 ESG Storebrand Livsf AS 22/52 FRN STEP C SUB 958995369 Tier 2 27.05.2022 27.05.2052
NO0012752940 STORL11 ESG Storebrand Livsf AS 22/53 FRN STEP C SUB 958995369 Tier 2 17.11.2022 17.02.2053
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NO0013060657 STORL14 Storebrand Livsf AS 23/PERP FRN C HYBRID 958995369 Tier 1 02.11.2023 02.11.2099
NO0013334912 STORL16 ESG Storebrand Livsfo AS 24/54 ADJ SEK C SUB 958995369 Tier 2 17.09.2024 17.12.2054
NO0010886153 STORL08 Storebrand Livsforsik AS 20/50 FRN C SUB 958995369 Tier 2 19.06.2020 19.06.2050
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NO0012752932 STORL12 ESG Storebrand Livsforsik AS 22/53 ADJ C SUB 958995369 Tier 2 17.11.2022 17.02.2053
NO0013334888 Storfjord komm 4,805% CERT 181 130325 964994129 CD 13.09.2024 13.03.2025
NO0013388462 Storfjord komm 4,862% CERT 180 300425 964994129 CD 01.11.2024 30.04.2025
NO0013339705 Stranda komm 4,72% CERT 181 180325 964980098 CD 18.09.2024 18.03.2025
NO0013181412 Strandveien Eiendomsinve AS 24/29 6,395% 926173022 Bond 25.03.2024 25.03.2029
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NO0010946429 STSB19 PRO Strømmen Spb 21/26 FRN 937886160 Bond 12.03.2021 12.03.2026
NO0011136046 STSB21 PRO Strømmen Spb 21/26 FRN 937886160 Bond 26.10.2021 26.10.2026
NO0012778663 STSB24 PRO Strømmen Spb 22/27 FRN 937886160 Bond 06.12.2022 05.03.2027
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NO0013334862 STSB27 PRO Strømmen Spb 24/28 FRN 937886160 Bond 13.09.2024 13.03.2028
NO0013182212 STSSB26 PRO Strømmen Spb 24/PERP ADJ C HYBRID 937886160 Tier 1 19.03.2024 19.03.2099
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NO0013139006 SUKO04 Sula komm 24/26 FRN 964980543 Bond 26.01.2024 26.01.2026
NO0013334839 SUKO05 Sula komm 24/29 3,95% 964980543 Bond 17.09.2024 17.09.2029
NO0013334854 Sula komm 4,79% CERT 091 171224 964980543 CD 17.09.2024 17.12.2024
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NO0013265223 SUNDK02 Sunndal komm 24/26 FRN 964981604 Bond 20.06.2024 22.06.2026
NO0013371963 Sunndal komm 4,67% CERT 365 161025 964981604 CD 16.10.2024 16.10.2025
NO0013372003 Sunndal komm 4,95% CERT 061 161224 964981604 CD 16.10.2024 16.12.2024
NO0011156689 SUNSB13 PRO Sunndal Spb 21/25 FRN 937899963 Bond 25.11.2021 25.09.2025
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NO0011073801 SUNSB12 PRO Sunndal Spb 21/PERP FRN STEP C HYBRID 937899963 Tier 1 13.08.2021 13.08.2099
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NO0012820069 SUNSB15 PRO Sunndal Spb 23/27 FRN 937899963 Bond 23.01.2023 23.04.2027
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NO0013214072 SUNSB18 PRO Sunndal Spb 24/34 ADJ C SUB 937899963 Tier 2 19.04.2024 19.10.2034
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NO0012477753 SUKOM01 Surnadal komm 22/25 FRN 964981892 Bond 18.03.2022 18.03.2025
NO0013316588 Surnadal komm 4,685% CERT 365 190825 964981892 CD 19.08.2024 19.08.2025
NO0010860489 SVKO01 Sveio komm 19/26 1,884% 864967272 Bond 19.08.2019 19.08.2026
NO0013214122 SVKO03 Sveio komm 24/27 FRN 864967272 Bond 19.04.2024 19.04.2027
NO0013316604 Sveio komm 4,705% CERT 365 200825 864967272 CD 20.08.2024 20.08.2025
NO0010786858 SWB15 PRO Swedbank AB 17/27 2,68% 502017-7753 Bond 24.02.2017 24.02.2027
XS2083294210 XS2083294210 Swedbank AB 19/24 FRN NOK 502017-7753 Tier 3 25.11.2019 25.11.2024
XS2199275251 XS2199275251 Swedbank AB 20/25 FRN NOK 502017-7753 Bond 07.07.2020 07.07.2025
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XS2467658717 XS2467658717 Swedbank AB 22/27 FRN NOK 502017-7753 Tier 3 08.04.2022 08.04.2027
XS2523389422 XS2523389422 Swedbank AB 22/27 FRN NOK 502017-7753 Tier 3 19.08.2022 19.08.2027
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XS2445123727 XS2445123727 Swedbank AB 22/28 FRN NOK 502017-7753 Tier 3 15.02.2022 15.02.2028
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XS2726403947 XS2726403947 Swedbank AB 23/30 FRN NOK 502017-7753 Tier 3 28.11.2023 28.11.2030
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XS2768919289 XS2768919289 Swedbank AB 24/29 FRN NOK 502017-7753 Tier 3 19.02.2024 19.02.2029
NO0013135277 Sydbank A/S 24/34 FRN C SUB 12626509 Tier 2 25.01.2024 25.04.2034
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NO0013049387 SODE 191 Södertälje Kommun 23/28 FRN 212000-0159 Bond 18.10.2023 18.10.2028
NO0012918731 SODE 189 Södertälje Kommun 23/29 FRN 212000-0159 Bond 22.05.2023 22.05.2029
NO0013220327 SODE 195 Södertälje Kommun 24/29 FRN 212000-0159 Bond 30.04.2024 30.10.2029
NO0013181511 SOGSB22 PRO Søgne og Greips Spb 24/PERP FRN C HYBRID 937895054 Tier 1 18.03.2024 18.03.2099
NO0010917958 SOGSB16 PRO Søgne og Greipstad Spb 21/25 FRN 937895054 Bond 18.01.2021 18.03.2025
NO0012903477 SOGSB19 PRO Søgne og Greipstad Spb 23/26 FRN 937895054 Bond 28.04.2023 28.04.2026
NO0013052910 SOGSB20 PRO Søgne og Greipstad Spb 23/26 FRN 937895054 Bond 20.10.2023 20.10.2026
NO0013099853 SOGSB21 PRO Søgne og Greipstad Spb 23/26 FRN 937895054 Bond 15.12.2023 15.12.2026
NO0012883117 SOGSB18 PRO Søgne og Greipstad Spb 23/33 FRN C SUB 937895054 Tier 2 31.03.2023 31.03.2033
NO0013185801 SOGSB23 PRO Søgne og Greipstad Spb 24/27 FRN 937895054 Bond 22.03.2024 22.03.2027
NO0013351098 Søndre Land komm 4,90% CERT 084 131224 961381630 CD 20.09.2024 13.12.2024
NO0013334193 Søndre Land komm 4,90% CERT 091 131224 961381630 CD 13.09.2024 13.12.2024
NO0013365551 Søndre Land komm 4,92% CERT 091 100125 961381630 CD 11.10.2024 10.01.2025
NO0013401950 Sør-Aurdal komm 4,88% CERT 182 120525 961381819 CD 11.11.2024 12.05.2025
NO0013315945 Søre Sunnmøre IKT FRN CERT 365 150825 919824573 CD 15.08.2024 15.08.2025
NO0010872294 Søren Bulls vei 25 Inve AS 20/25 4,25% C 923325387 Bond 13.01.2020 13.01.2025
NO0010894793 Tailwind Ener Ltd NO0010689763 RD 270920 SC335305 Claim, Redemption 28.09.2020 27.09.2099
NO0010689763 Tailwind Energy Ltd 13/20 9,50% USD STEP SC335305 Bond 27.09.2013 27.09.2020
NO0013326041 Taptravel Nordic A 24/27 FRN SEK FLOOR C 559201-3162 Bond 03.10.2024 03.10.2027
NO0010870793 Taterholmen AS 19/27 3,95% STEP C 932435829 Bond 11.12.2019 11.12.2027
NO0011027104 Technopolis Ki AB 21/27 2,75% SEK STEP C 559306-2572 Bond 30.06.2021 01.07.2027
NO0012772922 VTFY11 Telemark fylke 22/25 4,11% 929882989 Bond 02.12.2022 02.12.2025
NO0012447277 VTFY09 Telemark fylke 22/26 FRN 929882989 Bond 21.02.2022 23.02.2026
NO0013261818 TFYL12 Telemark fylke 24/26 4,539% 929882989 Bond 14.06.2024 12.06.2026
NO0013411140 Telemark fylke 4,885% CERT 181 220525 929882989 CD 22.11.2024 22.05.2025
XS0862442331 XS0862442331 Telenor ASA 12/24 2,625% 982463718 Bond 06.12.2012 06.12.2024
XS0933241456 XS0933241456 Telenor ASA 13/25 2,50% 982463718 Bond 22.05.2013 22.05.2025
XS2001737324 XS2001737324 Telenor ASA 19/26 0,75% C 982463718 Bond 31.05.2019 31.05.2026
XS2056396919 XS2056396919 Telenor ASA 19/27 0,25% C 982463718 Bond 25.09.2019 25.09.2027
XS2001737910 XS2001737910 Telenor ASA 19/29 1,125% C 982463718 Bond 31.05.2019 31.05.2029
XS2056399855 XS2056399855 Telenor ASA 19/31 0,625% C 982463718 Bond 25.09.2019 25.09.2031
XS2001738991 XS2001738991 Telenor ASA 19/34 1,75% C 982463718 Bond 31.05.2019 31.05.2034
XS2117452156 XS2117452156 Telenor ASA 20/28 0,25% C 982463718 Bond 14.02.2020 14.02.2028
XS2117454871 XS2117454871 Telenor ASA 20/35 0,875% C 982463718 Bond 14.02.2020 14.02.2035
NO0012935313 TEL01 Telenor ASA 23/28 FRN C 982463718 Bond 13.06.2023 13.06.2028
XS2696803696 XS2696803696 Telenor ASA 23/30 4,00% 982463718 Bond 03.10.2023 03.10.2030
NO0012935339 TEL02 Telenor ASA 23/30 4,61% C 982463718 Bond 13.06.2023 13.06.2030
XS2696803852 XS2696803852 Telenor ASA 23/35 4,25% 982463718 Bond 03.10.2023 03.10.2035
XS2911004658 XS2911004658 Telenor ASA 24/27 FRN SEK 982463718 Bond 01.10.2024 01.10.2027
XS2911013303 XS2911013303 Telenor ASA 24/29 2,758% SEK 982463718 Bond 01.10.2024 01.10.2029
XS2911006430 XS2911006430 Telenor ASA 24/29 FRN SEK 982463718 Bond 01.10.2024 01.10.2029
NO0013383406 Telford Finco 24/29 11,00% USD C 414289 Bond 06.11.2024 06.11.2029
NO0010871783 Telford Offshore Limi 19/22 15,00% USD C HL-325591 Bond 27.12.2019 31.12.2022
XS1329671991 XS1329671991 Telia Company AB 15/30 3,30% NOK 556103-4249 Bond 11.12.2015 11.12.2030
XS1252214165 XS1252214165 Telia Company AB 15/30 3,40% NOK 556103-4249 Bond 26.06.2015 26.06.2030
XS1562152360 XS1562152360 Telia Company AB 17/27 3,07% NOK 556103-4249 Bond 09.02.2017 09.02.2027
XS1880431785 Telia Company AB 18/28 3,16% NOK 556103-4249 Bond 18.09.2018 18.09.2028
XS1802424736 XS1802424736 Telia Company AB 18/30 3,04% NOK 556103-4249 Bond 09.04.2018 09.04.2030
XS2153599480 XS2153599480 Telia Company AB 20/30 2,90% NOK 556103-4249 Bond 14.04.2020 08.04.2030
NO0013091769 Telia Company AB 23/29 4,675% 556103-4249 Bond 06.12.2023 06.03.2029
NO0013091751 NO0013091751 Telia Company AB 23/29 FRN 556103-4249 Bond 06.12.2023 06.03.2029
NO0013091777 NO0013091777 Telia Company AB 23/34 4,79% 556103-4249 Bond 06.12.2023 06.03.2034
NO0011129496 TEMP02 PRO TEMPTON Personaldienst 21/26 4,75% EUR C HRB 26884 Bond 09.11.2021 09.11.2026
NO0010572308 TROEN10 PRO Tensio AS 10/25 LNK FLOOR 922828172 Linked Notes 20.05.2010 20.05.2025
NO0010771645 NTE11 Tensio AS 16/25 3,45% 922828172 Bond 07.09.2016 03.11.2025
NO0010771629 NTE09 Tensio AS 16/27 3,70% 922828172 Bond 07.09.2016 03.11.2027
NO0011101560 TEN02 ESG Tensio AS 21/26 FRN 922828172 Bond 23.09.2021 23.09.2026
NO0013056192 Tensio AS 23/29 5,18% 922828172 Bond 02.11.2023 02.11.2029
NO0013262428 TEN03 PRO ESG Tensio AS 24/27 FRN 922828172 Bond 18.06.2024 18.06.2027
NO0010918139 Terningen Eiendomsholding AS 21/25 2,95% 923641378 Bond 16.03.2021 03.07.2025
XS2587356416 XS2587356416 The Bank of Nova S 23/31 3,565% NOK COVD 1000472 Bond 14.02.2023 14.02.2031
XS2644396470 XS2644396470 The Bank of Nova Sc 23/31 ADJ NOK C COVD 1000472 Bond 30.06.2023 30.06.2031
XS2438833779 XS2438833779 The Bank of Nova Scotia 22/32 2,80% NOK 1000472 Bond 31.01.2022 03.05.2032
XS2439248126 XS2439248126 The Bank of Nova Scotia 22/32 2,83% NOK 1000472 Bond 02.02.2022 03.05.2032
XS0936264943 XS0936264943 The Goldman Sachs Group, 13/28 4,45% NOK 2923466 Bond 30.05.2013 30.05.2028
XS1417271845 XS1417271845 The Goldman Sachs Group, 16/26 3,00% NOK 2923466 Bond 26.05.2016 26.05.2026
XS1709342536 XS1709342536 The Goldman Sachs Group, 17/29 3,00% NOK 2923466 Bond 31.10.2017 31.10.2029
XS2470193751 XS2470193751 The Goldman Sachs Group, 22/32 4,37% NOK 2923466 Bond 14.06.2022 14.06.2032
NO0010754716 The Hub Holding AS 15/25 3,75% C 914531047 Bond 21.12.2015 19.12.2025
NO0013256834 WKN: A383EW The Platform Group Ag 24/28 8,875% EUR C HRB 91139 Bond 11.07.2024 11.07.2028
XS1047498792 XS1047498792 The Slovak Republic 14/26 4,20% NOK 151742 Bond 27.03.2014 27.03.2026
NO0010809148 THOL63 PRO Thon Holding AS 17/27 2,86% 938050287 Bond 01.11.2017 01.11.2027
NO0010885908 THOL65 PRO Thon Holding AS 20/25 FRN 938050287 Bond 22.06.2020 23.06.2025
NO0013378927 Thon Holding AS 4,90% CERT 056 121224 938050287 CD 17.10.2024 12.12.2024
NO0011129579 TIDEW01 PRO Tidewater Inc. 21/26 8,50% USD C 496908 Bond 16.11.2021 16.11.2026
NO0012952227 TIDEW02 PRO Tidewater Inc. 23/28 10,375% USD C 496908 Bond 03.07.2023 03.07.2028
NO0013097196 TIMKO01 Time komm 23/26 4,20% 859223672 Bond 11.12.2023 11.12.2026
NO0013355313 Time komm 4,87% CERT 091 271224 859223672 CD 27.09.2024 27.12.2024
NO0013323469 Time komm 4,87% CERT 092 271124 859223672 CD 27.08.2024 27.11.2024
NO0010816838 TINE29 PRO Tine SA 18/28 3,09% 947942638 Bond 23.02.2018 23.02.2028
NO0010856768 TINE31 PRO Tine SA 19/29 2,80% 947942638 Bond 12.06.2019 12.06.2029
NO0011151904 TINE33 PRO Tine SA 21/26 FRN 947942638 Bond 17.11.2021 17.11.2026
NO0012863788 TINE34 PRO ESG Tine SA 23/28 FRN 947942638 Bond 15.03.2023 15.03.2028
NO0013339713 Tingvoll komm 4,799% CERT 091 181224 964981515 CD 18.09.2024 18.12.2024
NO0010874332 TNKO03 Tinn komm 20/25 1,93% 864963552 Bond 31.01.2020 31.01.2025
NO0012440868 TNKO04 Tinn komm 22/26 2,46% 864963552 Bond 10.02.2022 10.02.2026
NO0013383414 Tinn komm 4,849% CERT 151 250325 864963552 CD 25.10.2024 25.03.2025
NO0013319426 Tinn komm 4,896% CERT 212 260325 864963552 CD 26.08.2024 26.03.2025
NO0012692625 TNSB18 PRO Tinn Spb 22/PERP FRN C HYBRID 937891423 Tier 1 06.09.2022 07.09.2099
NO0012898719 TNSB19 PRO Tinn Spb 23/26 FRN 937891423 Bond 27.04.2023 27.04.2026
NO0012918129 TNSB20 PRO Tinn Spb 23/33 FRN C SUB 937891423 Tier 2 22.05.2023 22.08.2033
NO0013229757 TNSB21 PRO Tinn Spb 24/27 FRN 937891423 Bond 14.05.2024 14.05.2027
NO0010821820 Tjuvholmen Hotel AS 18/28 4,115% 990963835 Bond 04.05.2018 04.05.2028
NO0011108938 TOSB13 PRO Tolga-Os Spb 21/25 FRN 816793432 Bond 24.09.2021 24.09.2025
NO0012519034 TOSB18 PRO Tolga-Os Spb 22/25 FRN 816793432 Bond 05.05.2022 23.05.2025
NO0012440991 TOSB17 PRO Tolga-Os Spb 22/32 FRN STEP C SUB 816793432 Tier 2 11.02.2022 11.02.2032
NO0012440983 TOSB16 PRO Tolga-Os Spb 22/PERP FRN STEP C HYBRID 816793432 Tier 1 11.02.2022 11.02.2099
NO0012837089 TOSB19 PRO Tolga-Os Spb 23/26 FRN 816793432 Bond 09.02.2023 09.02.2026
NO0013094953 TOSB20 PRO Tolga-Os Spb 23/26 FRN 816793432 Bond 07.12.2023 07.12.2026
NO0013220939 TOSB21 PRO Tolga-Os Spb 24/27 FRN 816793432 Bond 03.05.2024 03.05.2027
NO0013383356 TOSB23 PRO Tolga-Os Spb 24/27 FRN 816793432 Bond 28.10.2024 28.10.2027
NO0013330613 TOSB22 PRO Tolga-Os Spb 24/28 FRN 816793432 Bond 11.09.2024 11.09.2028
NO0012739491 TOM03 ESG Tomra Systems ASA 22/25 FRN FLOOR 927124238 Bond 04.11.2022 04.11.2025
NO0012739509 TOM04 ESG Tomra Systems ASA 22/27 FRN FLOOR 927124238 Bond 04.11.2022 04.11.2027
NO0013187153 Tomra Systems ASA 24/29 FRN 927124238 Bond 03.04.2024 03.04.2029
NO0013187161 Tomra Systems ASA 24/31 FRN 927124238 Bond 03.04.2024 03.04.2031
NO0013339762 Tomra Systems ASA 24/34 4,446% 927124238 Bond 02.10.2024 02.10.2034
NO0013132134 TORM01 TORM PLC 24/29 8,25% USD C 09818726 Bond 25.01.2024 25.01.2029
NO0010874688 TSBK17 PRO Totens Spb Boli AS 20/25 FRN STEP C COVD 995883422 Bond 07.02.2020 18.06.2025
NO0010922883 TSBK20 PRO Totens Spb Boli AS 21/26 FRN STEP C COVD 995883422 Bond 04.02.2021 04.06.2026
NO0012523119 TSBK21 PRO Totens Spb Boli AS 22/27 FRN STEP C COVD 995883422 Bond 12.05.2022 08.06.2027
NO0010890858 TSBK18 PRO Totens Spb Boligkred AS 20/25 FRN C COVD 995883422 Bond 14.08.2020 14.11.2025
XS2155692507 Toyota Motor Finance (Ne 20/27 2,65% NOK 33194984 Bond 14.04.2020 14.04.2027
XS2152902800 Toyota Motor Finance (Ne 20/28 3,00% NOK 33194984 Bond 07.04.2020 07.04.2028
XS2495138658 XS2495138658 Toyota Motor Finance (Ne 22/27 4,19% NOK 33194984 Bond 05.07.2022 05.07.2027
NO0010646284 Transeuro Energy Corp 12/15 12,00% CONV CUSIP893651109 Convertible 22.05.2012 22.05.2015
NO0010838097 Transeuro Energy NO0010646284 IN 220514 CUSIP893651109 Claim, Interest 22.05.2014 22.05.2099
NO0010838105 Transeuro Energy NO0010646284 IN 220515 CUSIP893651109 Claim, Interest 22.05.2015 22.05.2099
NO0010838113 Transeuro Energy NO0010646284 RD 220515 CUSIP893651109 Claim, Redemption 22.05.2015 22.05.2099
NO0010754484 TRD Campus AS 15/25 4,26% 914428157 Bond 22.12.2015 22.12.2025
NO0010754476 TCH01 PRO TRD Campus Holding AS 15/25 4,50% 914428580 Bond 22.12.2015 22.12.2025
NO0010915051 Triangelgården Offe AS 20/25 FRN FLOOR C 924445777 Bond 29.12.2020 29.12.2025
NO0010914799 Triangelgården Offentli AS 20/25 3,30% C 924445777 Bond 29.12.2020 29.12.2025
NO0010812522 Trinitas Fastigheter AB 18/20 10,00% C 556702-1802 Bond 31.01.2018 31.01.2020
NO0013329912 Troms fylke 4,775% CERT 181 100325 930068128 CD 10.09.2024 10.03.2025
NO0010774482 TRSKO05 Tromsø komm 16/26 2,154% 940101808 Bond 15.09.2016 15.09.2026
NO0010813892 TRSKO11 Tromsø komm 18/28 2,468% 940101808 Bond 10.01.2018 10.01.2028
NO0010875396 TRSKO16 Tromsø komm 20/30 2,177% 940101808 Bond 18.02.2020 18.02.2030
NO0011084717 TRSKO19 Tromsø komm 21/25 1,515% 940101808 Bond 31.08.2021 01.09.2025
NO0012812413 TRSKO22 Tromsø komm 23/25 FRN 940101808 Bond 13.01.2023 13.01.2025
NO0012851866 TRSKO23 Tromsø komm 23/25 FRN 940101808 Bond 24.02.2023 24.02.2025
NO0013030262 TRSKO25 Tromsø komm 23/25 FRN 940101808 Bond 02.10.2023 02.10.2025
NO0012861691 TRSKO24 Tromsø komm 23/26 FRN 940101808 Bond 09.03.2023 09.03.2026
NO0012917543 Tromsø komm 23/28 4,027% 940101808 Bond 12.05.2023 12.05.2028
NO0013070979 TRSKO26 Tromsø komm 23/33 4,568% 940101808 Bond 15.11.2023 15.11.2033
NO0013152355 TRSKO27 Tromsø komm 24/26 FRN 940101808 Bond 14.02.2024 16.02.2026
NO0013191007 TRSKO28 Tromsø komm 24/26 FRN 940101808 Bond 26.03.2024 26.03.2026
NO0013228486 Tromsø komm 24/26 FRN 940101808 Bond 10.05.2024 11.05.2026
NO0013334128 TRSKO30 Tromsø komm 24/26 FRN 940101808 Bond 12.09.2024 11.09.2026
NO0013364372 TRSKO32 Tromsø komm 24/26 FRN 940101808 Bond 11.10.2024 12.10.2026
NO0013276972 TRSKO29 Tromsø komm 24/34 4,408% 940101808 Bond 05.07.2024 05.07.2034
NO0013355883 TRSKO31 Tromsø komm 4,595% CERT 365 300925 940101808 CD 30.09.2024 30.09.2025
NO0013388447 Tromsø komm 4,634% CERT 030 041224 940101808 CD 04.11.2024 04.12.2024
NO0013354076 Tromsø komm 4,739% CERT 181 250325 940101808 CD 25.09.2024 25.03.2025
NO0013326058 Tromsø komm 4,75% CERT 091 021224 940101808 CD 02.09.2024 02.12.2024
NO0013324897 Tromsø komm 4,757% CERT 092 291124 940101808 CD 29.08.2024 29.11.2024
NO0013380063 Tromsø komm 4,764% CERT 183 220425 940101808 CD 21.10.2024 22.04.2025
NO0013320077 Tromsø komm 4,78% CERT 092 221124 940101808 CD 22.08.2024 22.11.2024
NO0013311910 Tromsø komm 4,80% CERT 122 121224 940101808 CD 12.08.2024 12.12.2024
NO0013265843 Tromsø komm 4,817% CERT 364 200625 940101808 CD 21.06.2024 20.06.2025
NO0013402479 Tromsø komm 4,905% CERT 092 110225 940101808 CD 11.11.2024 11.02.2025
NO0013411116 Tromsø komm 4,93% CERT 119 210325 940101808 CD 22.11.2024 21.03.2025
NO0010853278 Trondheim Helsebygg Hol AS 19/26 3,66% C 997510291 Bond 27.06.2019 26.06.2026
NO0010729403 TRKO17 Trondheim komm 15/25 2,142% 942110464 Bond 16.01.2015 16.01.2025
NO0010785876 TRKO23 Trondheim komm 17/27 2,68% 942110464 Bond 02.02.2017 02.02.2027
NO0010834211 TRKO24 Trondheim komm 18/28 2,85% 942110464 Bond 11.10.2018 11.10.2028
NO0010867013 TRKO26 Trondheim komm 19/29 2,243% 942110464 Bond 24.10.2019 24.10.2029
NO0010876493 TRKO28 Trondheim komm 20/25 FRN 942110464 Bond 05.03.2020 05.03.2025
NO0010936099 TRKO31 Trondheim komm 21/26 FRN 942110464 Bond 19.02.2021 19.02.2026
NO0011104101 TRKO32 Trondheim komm 21/26 FRN 942110464 Bond 20.09.2021 21.09.2026
NO0012496753 TRKO33 Trondheim komm 22/25 FRN 942110464 Bond 11.04.2022 11.04.2025
NO0013013847 TRKO34 Trondheim komm 23/25 FRN 942110464 Bond 11.09.2023 11.09.2025
NO0013067504 TRKO35 Trondheim komm 23/33 4,4575% 942110464 Bond 10.11.2023 10.11.2033
NO0013094342 TRKO36 Trondheim komm 23/38 3,979% 942110464 Bond 05.12.2023 03.12.2038
NO0013363226 TRKO38 Trondheim komm 24/26 4,16% 942110464 Bond 08.10.2024 08.10.2026
NO0013211201 TRKO37 Trondheim komm 24/26 FRN 942110464 Bond 15.04.2024 15.04.2026
NO0013319327 Trondheim komm 4,677% CERT 364 220825 942110464 CD 23.08.2024 22.08.2025
NO0013355305 Trondheim komm 4,723% CERT 091 271224 942110464 CD 27.09.2024 27.12.2024
NO0013358077 Trondheim komm 4,746% CERT 180 310325 942110464 CD 02.10.2024 31.03.2025
NO0013334110 Trondheim komm 4,749% CERT 091 111224 942110464 CD 11.09.2024 11.12.2024
NO0013389502 Trondheim komm 4,825% CERT 092 040225 942110464 CD 04.11.2024 04.02.2025
NO0010751837 TRYG02 Tryg Forsikring A/S 15/45 FRN STEP C SUB 24260666 Tier 2 13.11.2015 13.11.2045
NO0010995723 TRYG06 Tryg Forsikring A/S 21/51 FRN STEP C SUB 24260666 Tier 2 12.05.2021 12.05.2051
NO0012862707 Tryg forsikring A/S 23/ Tryg Forsikring A/S 23/PERP FRN C HYBRID 24260666 Tier 1 20.03.2023 20.03.2099
NO0010764277 TRYGG_NOK TryggHem Projekt 1 AB 16/23 10,50% C 559046-7345 Bond 25.05.2016 20.05.2023
NO0013198432 Trysil komm 24/27 FRN 864948502 Bond 09.04.2024 09.04.2027
NO0013379511 Trysil komm 4,794% CERT 180 160425 864948502 CD 18.10.2024 16.04.2025
NO0013180844 Trysil komm FRN CERT 365 120325 864948502 CD 12.03.2024 12.03.2025
NO0010892268 TRGSB20 PRO Trøgstad Spb 20/25 FRN 937885377 Bond 10.09.2020 10.09.2025
NO0010984305 TRGSB22 PRO Trøgstad Spb 21/26 FRN 937885377 Bond 21.04.2021 21.04.2026
NO0011202178 TRGSB23 PRO Trøgstad Spb 22/25 FRN 937885377 Bond 12.01.2022 12.05.2025
NO0012520487 TRGSB24 PRO Trøgstad Spb 22/26 FRN 937885377 Bond 06.05.2022 05.11.2026
NO0012626102 TRGSB25 PRO Trøgstad Spb 22/27 FRN 937885377 Bond 19.08.2022 16.03.2027
NO0012864380 TRGSB26 PRO Trøgstad Spb 23/27 FRN 937885377 Bond 13.03.2023 13.10.2027
NO0012931791 TRGSB27 PRO Trøgstad Spb 23/28 FRN 937885377 Bond 31.05.2023 22.03.2028
NO0013052191 TRGSB28 PRO Trøgstad Spb 23/28 FRN 937885377 Bond 19.10.2023 05.10.2028
NO0013316612 TRGSB29 PRO Trøgstad Spb 24/29 FRN 937885377 Bond 22.08.2024 22.03.2029
NO0010868250 TRFY09 Trøndelag fylke 19/25 FRN 817920632 Bond 07.11.2019 07.11.2025
NO0010915242 TRFY11 Trøndelag fylke 20/25 FRN 817920632 Bond 18.12.2020 18.12.2025
NO0012922527 TRFY14 Trøndelag fylke 23/25 FRN 817920632 Bond 23.05.2023 23.05.2025
NO0012947557 TRFY15 Trøndelag fylke 23/26 FRN 817920632 Bond 22.06.2023 20.02.2026
NO0013096321 TRFY16 Trøndelag fylke 23/28 FRN 817920632 Bond 11.12.2023 11.12.2028
NO0013177998 TRFY17 Trøndelag fylke 24/26 FRN 817920632 Bond 11.03.2024 11.03.2026
NO0013183681 TRFY18 Trøndelag fylke 24/27 FRN 817920632 Bond 21.03.2024 22.03.2027
NO0013276436 TRFY19 Trøndelag fylke 24/27 FRN 817920632 Bond 08.07.2024 09.09.2027
NO0013329326 TRFY20 Trøndelag fylke 24/27 FRN 817920632 Bond 06.09.2024 05.03.2027
NO0013380071 TRFY21 Trøndelag fylke 24/27 FRN 817920632 Bond 24.10.2024 22.10.2027
NO0010876220 TRSB14 PRO Trøndelag Spb 20/25 FRN 937902174 Bond 04.03.2020 04.03.2025
NO0011125585 TRSB16 PRO Trøndelag Spb 21/31 FRN STEP C SUB 937902174 Tier 2 14.10.2021 14.10.2031
NO0011156663 Trøndelag Spb 21/PERP FRN STEP C HYBRID 937902174 Tier 1 01.12.2021 01.12.2099
NO0012441734 TRSB17 PRO Trøndelag Spb 22/25 FRN 937902174 Bond 11.02.2022 03.09.2025
NO0012714338 TRSB19 PRO Trøndelag Spb 22/26 FRN 937902174 Bond 30.09.2022 30.03.2026
NO0012767294 TRSB20 PRO Trøndelag Spb 22/27 FRN 937902174 Bond 29.11.2022 29.11.2027
NO0012935321 TRSB01 PRO Trøndelag Spb 23/26 FRN 937902174 Bond 08.06.2023 08.06.2026
NO0012994377 TRSB02 PRO Trøndelag Spb 23/26 FRN 937902174 Bond 24.08.2023 24.08.2026
NO0013096313 TRSB04 PRO Trøndelag Spb 23/27 FRN 937902174 Bond 11.12.2023 11.03.2027
NO0012998576 TRSB03 PRO Trøndelag Spb 23/28 FRN 937902174 Bond 24.08.2023 24.08.2028
NO0012838962 TRSB21 PRO Trøndelag Spb 23/PERP FRN STEP C HYBRID 937902174 Tier 1 15.02.2023 16.02.2099
NO0013183558 TRSB06 PRO Trøndelag Spb 24/27 FRN 937902174 Bond 18.03.2024 18.06.2027
NO0013311340 TRSB22 PRO Trøndelag Spb 24/28 FRN 937902174 Bond 14.08.2024 06.03.2028
NO0013224493 TRSB08 PRO Trøndelag Spb 24/29 FRN 937902174 Bond 08.05.2024 08.05.2029
NO0013178715 TRSB05 PRO Trøndelag Spb 24/34 ADJ C SUB 937902174 Tier 2 14.03.2024 14.09.2034
NO0013209817 TRSB07 PRO Trøndelag Spb 24/PERP ADJ C HYBRID 937902174 Tier 1 16.04.2024 16.04.2099
NO0010771702 TROEN22 Trønderenergi AS 16/26 2,68% 980417824 Bond 08.09.2016 08.09.2026
NO0010936222 TROEN30 ESG Trønderenergi AS 21/25 FRN 980417824 Bond 24.02.2021 24.09.2025
NO0010936198 TROEN29 ESG Trønderenergi AS 21/28 2,07% 980417824 Bond 24.02.2021 24.02.2028
NO0013325480 TT Entertainment AB 24/29 12,00% 559205-1733 Bond 30.08.2024 30.12.2029
NO0013140038 TWMA01 PRO ESG TWMA Finance AS 24/27 13,00% USD C 832055522 Bond 08.02.2024 08.02.2027
NO0010871437 TYSB14 PRO Tysnes Spb 19/25 FRN 937897375 Bond 13.12.2019 13.06.2025
NO0011035545 TYSB19 PRO Tysnes Spb 21/24 FRN 937897375 Bond 25.06.2021 25.11.2024
NO0010917321 TYSB18 PRO Tysnes Spb 21/25 FRN 937897375 Bond 14.01.2021 14.02.2025
NO0010917305 TYSB17 PRO Tysnes Spb 21/26 FRN 937897375 Bond 13.01.2021 13.01.2026
NO0012639592 TYSB20 PRO Tysnes Spb 22/26 FRN 937897375 Bond 26.08.2022 26.08.2026
NO0012706730 TYSB21 PRO Tysnes Spb 22/32 FRN STEP C SUB 937897375 Tier 2 20.09.2022 20.09.2032
NO0012819954 TYSB22 PRO Tysnes Spb 23/27 FRN 937897375 Bond 20.01.2023 20.01.2027
NO0013091744 TYSB24 PRO Tysnes Spb 23/PERP FRN STEP C HYBRID 937897375 Tier 1 06.12.2023 06.12.2099
NO0013121186 TYSB23 PRO Tysnes Spb 24/27 FRN 937897375 Bond 15.01.2024 15.01.2027
NO0013191684 TYSB26 PRO Tysnes Spb 24/27 FRN 937897375 Bond 26.03.2024 24.03.2027
NO0013374470 TYSB27 PRO Tysnes Spb 24/27 FRN 937897375 Bond 18.10.2024 18.10.2027
NO0013167999 TYSB25 PRO Tysnes Spb 24/34 ADJ C SUB 937897375 Tier 2 27.02.2024 27.02.2034
NO0011203564 TYSKO05 Tysvær komm 22/26 FRN 964979812 Bond 14.01.2022 14.01.2026
NO0013048728 TYSKO07 Tysvær komm 23/25 FRN 964979812 Bond 16.10.2023 16.10.2025
NO0013335463 TYSKO08 Tysvær komm 24/27 3,91% 964979812 Bond 16.09.2024 16.09.2027
NO0013335489 Tysvær komm 4,724% CERT 212 160425 964979812 CD 16.09.2024 16.04.2025
NO0013387266 Tysvær komm 4,83% CERT 134 140325 964979812 CD 31.10.2024 14.03.2025
NO0013405100 Tysvær komm 4,916% CERT 120 140325 964979812 CD 14.11.2024 14.03.2025
NO0013259739 Täby Boulevard Ekonomi 24/29 6,22% SEK C 769634-4766 Bond 20.06.2024 20.06.2029
NO0012847773 TOKO05 Tønsberg komm 23/25 FRN 921383681 Bond 17.02.2023 17.02.2025
NO0012857863 TOKO06 Tønsberg komm 23/27 FRN 921383681 Bond 03.03.2023 03.03.2027
NO0013355925 Tønsberg komm 24/27 FRN 921383681 Bond 30.09.2024 30.09.2027
NO0013338400 Tønsberg komm 4,747% CERT 091 171224 921383681 CD 17.09.2024 17.12.2024
NO0013324095 Tønsberg komm 4,76% CERT 092 281124 921383681 CD 28.08.2024 28.11.2024
NO0013360560 Tønsberg komm 4,794% CERT 123 040225 921383681 CD 04.10.2024 04.02.2025
NO0013406439 Tønsberg komm 4,94% CERT 091 140225 921383681 CD 15.11.2024 14.02.2025
XS1152203730 XS1152203730 UBS AG 14/26 3,25% NOK CHE-101.329.561 Bond 17.12.2014 17.12.2026
XS1249369429 XS1249369429 UBS AG 15/25 3,50% NOK CHE-101.329.561 Bond 18.06.2015 18.06.2025
NO0011161572 ULKO06 Ullensaker komm 21/25 2,007% 933649768 Bond 26.11.2021 26.11.2025
NO0013077008 ULKO07 Ullensaker komm 23/25 FRN 933649768 Bond 24.11.2023 24.11.2025
NO0013329292 Ullensaker komm 24/29 3,96% 933649768 Bond 03.09.2024 03.09.2029
NO0013384081 ULKO08 Ullensaker komm 24/29 FRN 933649768 Bond 28.10.2024 26.10.2029
NO0013379503 Ullensaker komm 4,708% CERT 243 180625 933649768 CD 18.10.2024 18.06.2025
NO0013321372 Ullensaker komm 4,773% CERT 092 261124 933649768 CD 26.08.2024 26.11.2024
NO0013365585 Ullensaker komm 4,784% CERT 151 140325 933649768 CD 14.10.2024 14.03.2025
NO0013325423 Ullensaker komm 4,817% CERT 182 280225 933649768 CD 30.08.2024 28.02.2025
NO0013325431 Ullensaker komm 4,82% CERT 154 030225 933649768 CD 02.09.2024 03.02.2025
NO0013350579 Ullensaker komm 4,83% CERT 122 200125 933649768 CD 20.09.2024 20.01.2025
NO0013350587 Ullensaker komm 4,854% CERT 122 240125 933649768 CD 24.09.2024 24.01.2025
NO0013406421 Ullensaker komm 4,934% CERT 091 140225 933649768 CD 15.11.2024 14.02.2025
NO0010876105 UVKO01 Ullensvang komm 20/25 1,96% 920500633 Bond 02.03.2020 03.03.2025
NO0013003889 UVKO04 Ullensvang komm 23/26 FRN 920500633 Bond 25.08.2023 25.02.2026
NO0013359380 UVKO05 Ullensvang komm 24/27 4,032% 920500633 Bond 03.10.2024 04.10.2027
NO0013359372 Ullensvang komm 4,756% CERT 211 020525 920500633 CD 03.10.2024 02.05.2025
NO0012612227 ULSTKO03 Ulstein komm 22/27 3,479% 964979456 Bond 08.08.2022 06.08.2027
NO0013340646 Ulstein komm 4,77% CERT 088 171224 964979456 CD 20.09.2024 17.12.2024
NO0013320671 Ulstein komm 4,774% CERT 092 271124 964979456 CD 27.08.2024 27.11.2024
NO0013319319 Ulstein komm 4,807% CERT 091 221124 964979456 CD 23.08.2024 22.11.2024
NO0013401364 Ulstein komm 4,87% CERT 181 070525 964979456 CD 07.11.2024 07.05.2025
NO0013367656 Ulstein komm 4,899% CERT 092 150125 964979456 CD 15.10.2024 15.01.2025
NO0013358085 Ulstein komm 4,899% CERT 125 040225 964979456 CD 02.10.2024 04.02.2025
NO0013410472 Ulstein komm 4,944% CERT 091 210225 964979456 CD 22.11.2024 21.02.2025
XS2912502387 XS2912502387 United Utilities Wat Plc 24/35 4,95% NOK 09227416 Bond 03.10.2024 03.10.2035
NO0012495318 VADKO11 Vadsø komm 22/25 FRN 964993602 Bond 08.04.2022 08.04.2025
NO0012856212 VADKO12 Vadsø komm 23/25 FRN 964993602 Bond 02.03.2023 02.09.2025
NO0012990573 VADKO13 Vadsø komm 23/26 FRN 964993602 Bond 18.08.2023 18.02.2026
NO0013172874 VADKO14 Vadsø komm 24/26 FRN 964993602 Bond 04.03.2024 04.03.2026
NO0013355271 Vadsø komm 4,82% CERT 091 271224 964993602 CD 27.09.2024 27.12.2024
NO0013311928 Vadsø komm 4,82% CERT 365 120825 964993602 CD 12.08.2024 12.08.2025
NO0013364984 Vadsø komm 4,93% CERT 061 111224 964993602 CD 11.10.2024 11.12.2024
NO0013249904 VKDKO02 Vaksdal komm 24/26 FRN 961821967 Bond 29.05.2024 29.05.2026
NO0013270330 VKDKO03 Vaksdal komm 24/27 FRN 961821967 Bond 27.06.2024 24.03.2027
NO0013339143 Vaksdal komm 4,565% CERT 364 190925 961821967 CD 20.09.2024 19.09.2025
NO0013401943 VALSB01 PRO Valdres Spb 24/35 FRN C SUB 937888759 Tier 2 15.11.2024 15.05.2035
NO0013005298 VASB03 PRO Valle Spb 23/26 FRN 937893922 Bond 01.09.2023 01.09.2026
NO0013333476 VASB04 PRO Valle Spb 24/27 FRN 937893922 Bond 11.09.2024 11.03.2027
NO0013262402 Vang komm 4,91% CERT 182 131224 961382246 CD 14.06.2024 13.12.2024
NO0013335570 Vanylven komm 4,60% CERT 364 120925 964978662 CD 13.09.2024 12.09.2025
NO0013165811 Vanylven komm 4,99% CERT 365 200225 964978662 CD 21.02.2024 20.02.2025
NO0010572282 VARD05 Vardar AS 10/25 6,50% 977028442 Bond 04.06.2010 04.06.2025
NO0013182121 Varel Oil And Gas Inc 24/28 12,25% USD C 201282551 Bond 08.04.2024 07.04.2028
NO0010776032 VASA07 Vasakronan AB 16/26 2,525% 556061-4603 Bond 06.10.2016 06.10.2026
NO0010779630 VASA08 Vasakronan AB 16/26 2,90% 556061-4603 Bond 30.11.2016 30.11.2026
NO0010793292 VASA12 Vasakronan AB 17/27 2,95% 556061-4603 Bond 18.05.2017 18.05.2027
NO0010815202 VASA14 ESG Vasakronan AB 18/28 3,01% 556061-4603 Bond 31.01.2018 31.01.2028
NO0010822554 VASA16 ESG Vasakronan AB 18/30 3,27% 556061-4603 Bond 16.05.2018 16.05.2030
NO0010831589 VASA17 Vasakronan AB 18/33 3,46% 556061-4603 Bond 06.09.2018 06.09.2033
NO0010822638 VASA15 Vasakronan AB 18/33 3,49% 556061-4603 Bond 16.05.2018 16.05.2033
NO0010835358 VASA18 Vasakronan AB 18/33 3,56% 556061-4603 Bond 07.11.2018 07.11.2033
NO0010842792 VASA19 Vasakronan AB 19/29 3,02% 556061-4603 Bond 07.02.2019 07.02.2029
NO0010852254 VASA20 ESG Vasakronan AB 19/30 2,96% 556061-4603 Bond 16.05.2019 16.05.2030
NO0010875115 VASA24 ESG Vasakronan AB 20/25 2,168% 556061-4603 Bond 14.02.2020 16.06.2025
NO0010873771 VASA21 ESG Vasakronan AB 20/27 2,48% 556061-4603 Bond 27.01.2020 27.01.2027
NO0010874068 VASA22 ESG Vasakronan AB 20/27 FRN 556061-4603 Bond 29.01.2020 29.01.2027
NO0010874696 VASA23 ESG Vasakronan AB 20/27 FRN 556061-4603 Bond 07.02.2020 02.03.2027
NO0010902141 VASA27 ESG Vasakronan AB 20/30 1,781% 556061-4603 Bond 30.10.2020 30.10.2030
XS2151013047 XS2151013047 Vasakronan AB 20/30 3,00% NOK 556061-4603 Bond 02.04.2020 02.04.2030
NO0010884604 VASA25 ESG Vasakronan AB 20/30 FRN 556061-4603 Bond 04.06.2020 04.06.2030
NO0010900079 VASA26 ESG Vasakronan AB 20/33 1,77% 556061-4603 Bond 26.10.2020 26.10.2033
NO0010917396 VASA28 ESG Vasakronan AB 21/31 2,035% 556061-4603 Bond 15.01.2021 15.01.2031
NO0011008427 VASA31 ESG Vasakronan AB 21/31 2,515% 556061-4603 Bond 26.05.2021 26.05.2031
NO0010939754 VASA30 ESG Vasakronan AB 21/33 2,40% 556061-4603 Bond 25.02.2021 25.02.2033
NO0010968506 VASA29 ESG Vasakronan AB 21/33 2,50% 556061-4603 Bond 07.04.2021 07.04.2033
NO0013224378 VASA32 ESG Vasakronan AB 24/30 FRN 556061-4603 Bond 07.05.2024 07.08.2030
NO0013358044 VASA34 ESG Vasakronan AB 24/34 4,51% 556061-4603 Bond 09.10.2024 09.10.2034
NO0013224485 VASA33 ESG Vasakronan AB 24/34 5,13% 556061-4603 Bond 08.05.2024 08.05.2034
NO0010759376 Vatle AS 16/18 12,00% 989864637 Bond 18.03.2016 20.06.2018
NO0010759384 Vatle AS 16/18 12,00% SEK 989864637 Bond 18.03.2016 20.06.2018
NO0010759392 Vatle AS 16/18 20,00% 989864637 Bond 18.03.2016 20.06.2018
NO0010759400 Vatle AS 16/18 20,00% SEK 989864637 Bond 18.03.2016 20.06.2018
NO0010838295 Vatle AS NO0010759376 IN 200618 989864637 Claim, Interest 20.06.2018 20.06.2099
NO0010859895 Vatle AS NO0010759376 IN 200719 989864637 Claim, Interest 22.07.2019 20.07.2099
NO0010840309 Vatle AS NO0010759376 IN 201218 989864637 Claim, Interest 20.12.2018 20.12.2099
NO0010859929 Vatle AS NO0010759376 RD 200719 989864637 Claim, Redemption 22.07.2019 20.07.2099
NO0010838303 Vatle AS NO0010759384 IN 200618 989864637 Claim, Interest 20.06.2018 20.06.2099
NO0010859879 Vatle AS NO0010759384 IN 200719 989864637 Claim, Interest 22.07.2019 20.07.2099
NO0010840317 Vatle AS NO0010759384 IN 201218 989864637 Claim, Interest 20.12.2018 20.12.2099
NO0010859853 Vatle AS NO0010759384 RD 200719 989864637 Claim, Redemption 22.07.2019 20.07.2099
NO0010838311 Vatle AS NO0010759392 IN 200618 989864637 Claim, Interest 20.06.2018 20.06.2099
NO0010859937 Vatle AS NO0010759392 IN 200719 989864637 Claim, Interest 22.07.2019 20.07.2099
NO0010840283 Vatle AS NO0010759392 IN 201218 989864637 Claim, Interest 20.12.2018 20.12.2099
NO0010859887 Vatle AS NO0010759392 RD 200719 989864637 Claim, Redemption 22.07.2019 20.07.2099
NO0010838691 Vatle AS NO0010759400 IN 200618 989864637 Claim, Interest 20.06.2018 20.06.2099
NO0010859903 Vatle AS NO0010759400 IN 200719 989864637 Claim, Interest 22.07.2019 20.07.2099
NO0010840291 Vatle AS NO0010759400 IN 201218 989864637 Claim, Interest 20.12.2018 20.12.2099
NO0010859861 Vatle AS NO0010759400 RD 200719 989864637 Claim, Redemption 22.07.2019 20.07.2099
NO0012639576 VSK01 PRO ESG VEAS Selvkost AS 22/32 3,92% 920171540 Bond 29.08.2022 30.08.2032
NO0013387258 VEAS Selvkost AS 5,07% CERT 092 300125 920171540 CD 30.10.2024 30.01.2025
NO0010885262 TROBO05 PRO Vegamot AS 20/25 FRN 935162718 Bond 19.06.2020 19.06.2025
NO0010885718 TROBO07 PRO Vegamot AS 20/26 FRN 935162718 Bond 22.06.2020 22.06.2026
NO0010885361 TROBO04 PRO Vegamot AS 20/27 FRN 935162718 Bond 22.06.2020 22.06.2027
NO0010894116 TROBO11 PRO Vegamot AS 20/29 FRN 935162718 Bond 21.09.2020 21.09.2029
NO0010895592 TROBO12 PRO Vegamot AS 20/29 FRN 935162718 Bond 20.10.2020 19.10.2029
NO0010895642 TROBO13 PRO Vegamot AS 20/30 1,53% 935162718 Bond 20.10.2020 18.10.2030
NO0011173601 TROBO15 PRO Vegamot AS 21/26 2,00% 935162718 Bond 21.12.2021 21.12.2026
NO0010935414 TROBO14 PRO Vegamot AS 21/28 1,653% 935162718 Bond 19.02.2021 18.02.2028
NO0012552977 TROBO17 PRO Vegamot AS 22/31 3,924% 935162718 Bond 20.06.2022 20.06.2031
NO0011207250 TROBO16 PRO Vegamot AS 22/32 2,383% 935162718 Bond 21.01.2022 21.01.2032
NO0012554635 TROBO18 PRO Vegamot AS 22/32 3,937% 935162718 Bond 20.06.2022 18.06.2032
NO0013022665 TROBO21 PRO Vegamot AS 23/26 4,959% 935162718 Bond 20.09.2023 21.09.2026
NO0012843061 TROBO19 PRO Vegamot AS 23/28 3,829% 935162718 Bond 21.02.2023 21.02.2028
NO0012939034 TROBO20 PRO Vegamot AS 23/31 4,423% 935162718 Bond 13.06.2023 13.06.2031
NO0013409193 Vegamot AS 24/29 4,47% 935162718 Bond 20.11.2024 20.11.2029
NO0013214080 TRBO23 PRO Vegamot AS 24/33 4,434% 935162718 Bond 19.04.2024 19.04.2033
NO0013339747 Vegamot AS 24/33 FRN 935162718 Bond 20.09.2024 20.09.2033
NO0013339085 TRBO24 PRO Vegamot AS 24/34 4,07% 935162718 Bond 20.09.2024 20.09.2034
NO0013200634 TROBO22 PRO Vegamot AS 24/34 4,318% 935162718 Bond 10.04.2024 11.04.2034
NO0013335562 Vegamot AS 4,50% CERT 365 160925 935162718 CD 16.09.2024 16.09.2025
NO0013382770 Vegamot AS 4,639% CERT 365 241025 935162718 CD 24.10.2024 24.10.2025
NO0013334896 Vegamot AS 4,67% CERT 273 130625 935162718 CD 13.09.2024 13.06.2025
NO0013382168 Vegamot AS 4,67% CERT 335 220925 935162718 CD 22.10.2024 22.09.2025
NO0013350512 Vegamot AS 4,69% CERT 242 200525 935162718 CD 20.09.2024 20.05.2025
NO0013338442 Vegamot AS 4,719% CERT 154 190225 935162718 CD 18.09.2024 19.02.2025
NO0013380097 Vegamot AS 4,75% CERT 212 210525 935162718 CD 21.10.2024 21.05.2025
NO0013266767 Vegamot AS 4,863% CERT 153 211124 935162718 CD 21.06.2024 21.11.2024
NO0013340471 Vegfinans E16 AS 4,575% CERT 365 190925 981925009 CD 19.09.2024 19.09.2025
NO0013338418 Vegfinans Innl AS 4,699% CERT 181 170325 923888063 CD 17.09.2024 17.03.2025
NO0013351106 Vegfinans Innl AS 4,809% CERT 122 230125 923888063 CD 23.09.2024 23.01.2025
NO0013329334 Vegfinans Innla AS 4,77% CERT 091 041224 923888063 CD 04.09.2024 04.12.2024
NO0010891484 VGFI02 PRO Vegfinans Innlandet AS 20/25 FRN 923888063 Bond 28.08.2020 28.08.2025
NO0011112880 VGFI03 PRO Vegfinans Innlandet AS 21/28 FRN 923888063 Bond 28.09.2021 28.09.2028
NO0012424110 VGFI05 PRO Vegfinans Innlandet AS 22/26 2,18% 923888063 Bond 27.01.2022 27.01.2026
NO0012990581 VGFI06 PRO Vegfinans Innlandet AS 23/27 FRN 923888063 Bond 17.08.2023 17.02.2027
NO0013202465 VGFI07 PRO Vegfinans Innlandet AS 24/27 FRN 923888063 Bond 16.04.2024 16.04.2027
NO0013225706 VGFI08 PRO Vegfinans Innlandet AS 24/28 FRN 923888063 Bond 08.05.2024 08.05.2028
NO0013350553 VGFI09 PRO Vegfinans Innlandet AS 24/29 FRN 923888063 Bond 27.09.2024 27.09.2029
NO0013382218 Vegfinans Vest AS 4,759% CERT 182 220425 923888349 CD 22.10.2024 22.04.2025
NO0013323444 Vegfinans Vestf AS 4,75% CERT 092 261124 923888349 CD 26.08.2024 26.11.2024
NO0013323519 Vegfinans Vestf AS 4,78% CERT 092 271124 923888349 CD 27.08.2024 27.11.2024
NO0010907728 VGFT02 PRO Vegfinans Vestfold og Tel AS 20/25 1,16% 923888349 Bond 01.12.2020 01.12.2025
NO0011031403 VGFT04 PRO Vegfinans Vestfold og Tel AS 21/28 1,90% 923888349 Bond 25.06.2021 26.06.2028
NO0010907710 VGFT01 PRO Vegfinans Vestfold og Telem AS 20/25 FRN 923888349 Bond 01.12.2020 01.12.2025
NO0011031395 VGFT03 PRO Vegfinans Vestfold og Telem AS 21/26 FRN 923888349 Bond 25.06.2021 25.06.2026
NO0013321406 VGFT05 PRO ESG Vegfinans Vestfold og Telem AS 24/29 FRN 923888349 Bond 29.08.2024 29.08.2029
NO0013324145 Vegfinans Vike AS 4,765% CERT 092 281124 923886931 CD 28.08.2024 28.11.2024
NO0010894454 VGFV01 PRO Vegfinans Viken AS 20/25 FRN 923886931 Bond 29.09.2020 29.09.2025
NO0010894462 VGFV02 PRO Vegfinans Viken AS 20/27 1,25% 923886931 Bond 29.09.2020 29.09.2027
NO0012496720 VGFV04 PRO Vegfinans Viken AS 22/26 FRN 923886931 Bond 12.04.2022 26.06.2026
NO0012496035 VGFV03 PRO Vegfinans Viken AS 22/27 3,35% 923886931 Bond 12.04.2022 12.04.2027
NO0012916925 VGFV05 PRO Vegfinans Viken AS 23/27 FRN 923886931 Bond 15.05.2023 15.02.2027
NO0013188086 VGFV06 PRO ESG Vegfinans Viken AS 24/28 FRN 923886931 Bond 27.03.2024 27.03.2028
NO0013257436 VGFV08 PRO Vegfinans Viken AS 24/28 FRN 923886931 Bond 12.06.2024 12.06.2028
NO0013257444 VGFV07 PRO Vegfinans Viken AS 24/29 4,266% 923886931 Bond 12.06.2024 12.06.2029
NO0013388470 VGFV09 PRO Vegfinans Viken AS 24/34 4,325% 923886931 Bond 08.11.2024 08.11.2034
NO0013320804 Vegfinans Viken AS 4,75% CERT 091 221124 923886931 CD 23.08.2024 22.11.2024
NO0013361162 Vegfinans Viken AS 4,76% CERT 092 070125 923886931 CD 07.10.2024 07.01.2025
NO0013386722 Vegfinans Viken AS 4,88% CERT 092 290125 923886931 CD 29.10.2024 29.01.2025
NO0010819261 VEI10 Veidekke ASA 18/25 3,20% 917103801 Bond 19.03.2018 19.03.2025
NO0013320093 Vennesla komm 4,778% CERT 092 261124 936846777 CD 26.08.2024 26.11.2024
NO0013187179 VEOFF01 PRO Ventura Offshore Ltd 24/27 10,00% USD C 202403320 Bond 19.04.2024 19.04.2027
NO0013187955 VEBK28 PRO Verd Boligk AS 24/PERP FRN STEP C HYBRID 994322427 Tier 1 26.03.2024 26.03.2099
NO0010893696 VEBK21 PRO Verd Boligkredi AS 20/25 FRN STEP C COVD 994322427 Bond 17.09.2020 17.09.2025
NO0012708785 VEBK24 PRO Verd Boligkredit AS 22/PERP FRN C HYBRID 994322427 Tier 1 27.09.2022 27.09.2099
NO0013188052 VEBK29 PRO Verd Boligkredit AS 24/34 FRN STEP C SUB 994322427 Tier 2 26.03.2024 26.09.2034
NO0011151151 VEBK22 PRO Verd Boligkreditt AS 21/26 FRN C COVD 994322427 Bond 12.11.2021 12.10.2026
NO0012548900 VEBK23 PRO Verd Boligkreditt AS 22/27 FRN C COVD 994322427 Bond 13.06.2022 13.04.2027
NO0012708793 VEBK25 PRO Verd Boligkreditt AS 22/32 FRN C SUB 994322427 Tier 2 27.09.2022 27.12.2032
NO0012832791 VEBK26 PRO Verd Boligkreditt AS 23/28 FRN C COVD 994322427 Bond 07.02.2023 07.02.2028
NO0013048694 VEBK27 PRO ESG Verd Boligkreditt AS 23/28 FRN C COVD 994322427 Bond 18.10.2023 18.10.2028
NO0013329276 VEBK30 PRO Verd Boligkreditt AS 24/29 ADJ C COVD 994322427 Bond 09.09.2024 28.09.2029
NO0010885882 VDKO02 Verdal komm 20/28 1,26% 938587418 Bond 16.06.2020 16.06.2028
NO0012552415 VDKO06 Verdal komm 22/25 FRN 938587418 Bond 15.06.2022 14.03.2025
NO0012839606 VDKO07 Verdal komm 23/26 FRN 938587418 Bond 14.02.2023 16.02.2026
NO0013391649 Verdal komm 4,84% CERT 181 050525 938587418 CD 05.11.2024 05.05.2025
NO0013316026 Verdal komm FRN CERT 365 200825 938587418 CD 20.08.2024 20.08.2025
NO0013406397 Vestby komm 24/29 4,427% 943485437 Bond 18.11.2024 19.11.2029
NO0013355321 Vestby komm 4,645% CERT 364 260925 943485437 CD 27.09.2024 26.09.2025
NO0013319350 Vestby komm 4,747% CERT 365 220825 943485437 CD 22.08.2024 22.08.2025
NO0013404517 Vestby komm 4,90% CERT 183 150525 943485437 CD 13.11.2024 15.05.2025
NO0011129512 Vestby Logistikk H AS 21/24 4,11% STEP C 925514543 Bond 25.10.2021 05.12.2024
NO0011024572 VTFY08 Vestfold fylke 21/26 FRN 929882385 Bond 14.06.2021 14.09.2026
NO0013210518 VTFY14 Vestfold fylke 24/27 FRN 929882385 Bond 15.04.2024 15.04.2027
NO0013355875 VTFY15 Vestfold fylke 24/27 FRN 929882385 Bond 01.10.2024 01.04.2027
NO0013182832 VTFY13 Vestfold fylke 24/29 4,22% 929882385 Bond 18.03.2024 19.03.2029
NO0013168799 VTFY12 Vestfold fylke 24/30 4,648% 929882385 Bond 28.02.2024 28.02.2030
NO0013182089 Vestfold fylke 4,855% CERT 364 140325 929882385 CD 15.03.2024 14.03.2025
NO0013216275 Vestfold fylke 4,894% CERT 365 220425 929882385 CD 22.04.2024 22.04.2025
NO0010774912 HOFY04 Vestland fylke 16/26 FRN 821311632 Bond 22.09.2016 22.09.2026
NO0010876840 VEFY02 PRO Vestland fylke 20/25 1,67% 821311632 Bond 13.03.2020 13.03.2025
NO0010875545 VEFY01 Vestland fylke 20/25 1,975% 821311632 Bond 24.02.2020 24.02.2025
NO0011084675 VEFY07 Vestland fylke 21/25 1,467% 821311632 Bond 30.08.2021 01.09.2025
NO0010940430 VEFY05 Vestland fylke 21/26 1,428% 821311632 Bond 25.02.2021 25.02.2026
NO0012714387 VEFY10 Vestland fylke 22/25 FRN 821311632 Bond 03.10.2022 03.10.2025
NO0011207995 VEFY08 Vestland fylke 22/26 2,14% 821311632 Bond 20.01.2022 20.01.2026
NO0013056796 VEFY15 Vestland fylke 23/25 FRN 821311632 Bond 26.10.2023 27.10.2025
NO0012858606 VEFY11 ESG Vestland fylke 23/26 FRN 821311632 Bond 08.03.2023 09.03.2026
NO0013076331 VEFY16 Vestland fylke 23/28 4,435% 821311632 Bond 23.11.2023 23.11.2028
NO0013004655 VEFY13 Vestland fylke 23/28 4,877% 821311632 Bond 30.08.2023 30.08.2028
NO0013024042 VEFY14 Vestland fylke 23/29 4,728% 821311632 Bond 25.09.2023 25.09.2029
NO0012894643 VEFY12 Vestland fylke 23/30 3,77% 821311632 Bond 18.04.2023 17.04.2030
NO0013239517 VEFY18 Vestland fylke 24/26 FRN 821311632 Bond 24.05.2024 26.05.2026
NO0013270363 VEFY19 Vestland fylke 24/27 FRN 821311632 Bond 27.06.2024 27.06.2027
NO0013233056 VEFY17 Vestland fylke 24/32 4,348% 821311632 Bond 16.05.2024 18.05.2032
NO0013320697 Vestland fylke 4,617% CERT 365 260825 821311632 CD 26.08.2024 26.08.2025
NO0013392308 Vestland fylke 4,825% CERT 181 060525 821311632 CD 06.11.2024 06.05.2025
NO0013361170 Vestnes komm 4,97% CERT 092 070125 939901965 CD 07.10.2024 07.01.2025
NO0012626094 VTOKO05 Vestre Toten komm 22/25 3,75% 971028300 Bond 18.08.2022 18.08.2025
NO0013321331 Vestre Toten komm 4,787% CERT 094 251124 971028300 CD 23.08.2024 25.11.2024
NO0013324061 Vestre Toten komm 4,79% CERT 092 281124 971028300 CD 28.08.2024 28.11.2024
NO0013384107 Vestre Toten komm 4,869% CERT 092 290125 971028300 CD 29.10.2024 29.01.2025
NO0013382135 Vestre Toten komm 4,88% CERT 092 210125 971028300 CD 21.10.2024 21.01.2025
NO0013405167 Vestre Toten komm 4,93% CERT 092 130225 971028300 CD 13.11.2024 13.02.2025
XS1808397803 XS1808397803 Victoria Power Netwo Ltd 18/28 2,84% NOK 68101392161 Bond 26.04.2018 26.04.2028
NO0012637349 VFKO02 Vindafjord komm 22/25 FRN 988893226 Bond 24.08.2022 26.02.2025
NO0013166496 VFKO03 Vindafjord komm 24/29 4,625% 988893226 Bond 22.02.2024 22.02.2029
NO0013334078 Vindafjord komm 4,472% CERT 365 120925 988893226 CD 12.09.2024 12.09.2025
NO0013214056 Vindafjord komm 5,015% CERT 362 160425 988893226 CD 19.04.2024 16.04.2025
NO0010876048 VNKO01 Vinje komm 20/25 1,98% 964964610 Bond 28.02.2020 28.02.2025
NO0012767237 VNKO02 Vinje komm 22/27 4,03% 964964610 Bond 25.11.2022 25.11.2027
NO0013324798 Vinje komm 4,829% CERT 212 030425 964964610 CD 03.09.2024 03.04.2025
NO0013324772 Vinje komm 4,87% CERT 091 031224 964964610 CD 03.09.2024 03.12.2024
XS1325859897 XS1325859897 Vodafone Group Plc 15/25 3,215% NOK SUB 01833679 Bond 27.11.2015 27.11.2025
XS1643462002 XS1643462002 Vodafone Group Plc 17/27 2,925% NOK 01833679 Bond 06.07.2017 06.07.2027
XS1572749023 XS1572749023 Vodafone Group Plc 17/27 3,115% NOK 01833679 Bond 01.03.2017 01.03.2027
NO0012508516 VOKO04 Volda komm 22/25 FRN 939760946 Bond 25.04.2022 25.04.2025
NO0013028845 VOKO06 Volda komm 23/26 FRN 939760946 Bond 28.09.2023 30.03.2026
NO0012913922 VOKO05 Volda komm 23/27 3,994% 939760946 Bond 10.05.2023 10.05.2027
NO0013233080 VOKO07 Volda komm 24/26 FRN 939760946 Bond 16.05.2024 17.08.2026
NO0013329318 Volda komm 4,537% CERT 365 040925 939760946 CD 04.09.2024 04.09.2025
NO0013167221 Volda komm 5,05% CERT 365 210225 939760946 CD 22.02.2024 21.02.2025
XS2732161034 XS2732161034 Volkswagen Financial S 23/29 5,0975% NOK 33172400 Bond 15.12.2023 15.03.2029
XS2821758948 XS2821758948 Volkswagen Financial Servi 24/27 FRN NOK 33172400 Bond 15.05.2024 14.05.2027
NO0010876865 VOHE02 Voss Herad 20/25 1,86% 960510542 Bond 18.03.2020 18.03.2025
NO0012459983 VOHE04 Voss Herad 22/25 2,38% 960510542 Bond 04.03.2022 04.03.2025
NO0013168013 VOHE05 Voss Herad 24/27 4,86% 960510542 Bond 28.02.2024 26.02.2027
NO0013320812 Voss Herad 4,71% CERT 365 270825 960510542 CD 27.08.2024 27.08.2025
NO0013364422 Voss Herad 4,718% CERT 365 151025 960510542 CD 15.10.2024 15.10.2025
NO0010874381 VOSSB02 PRO Voss Spb 20/25 FRN 937897286 Bond 04.02.2020 04.02.2025
NO0011117210 VOSSB04 PRO Voss Spb 21/25 FRN 937897286 Bond 07.10.2021 07.10.2025
NO0013116384 VOSSB05 PRO Voss Spb 24/27 FRN 937897286 Bond 11.01.2024 11.01.2027
NO0012780834 VVL26 PRO Voss Vekse ASA 22/PERP FRN STEP C HYBRID 817244742 Tier 1 14.12.2022 14.12.2099
NO0010871395 VVL21 PRO Voss Veksel ASA 19/29 FRN C SUB 817244742 Tier 2 18.12.2019 18.12.2029
NO0010873185 VVL22 PRO Voss Veksel ASA 20/25 FRN 817244742 Bond 16.01.2020 16.01.2025
NO0011027005 VVL23 PRO Voss Veksel ASA 21/25 FRN 817244742 Bond 15.06.2021 15.09.2025
NO0012785155 VVL25 PRO Voss Veksel ASA 22/26 FRN 817244742 Bond 16.12.2022 16.03.2026
NO0012935446 VVL27 PRO Voss Veksel ASA 23/27 FRN 817244742 Bond 08.06.2023 08.03.2027
NO0013116335 VVL28 PRO Voss Veksel ASA 24/28 FRN 817244742 Bond 08.01.2024 08.03.2028
NO0013251165 VVL29 PRO Voss Veksel ASA 24/29 FRN 817244742 Bond 31.05.2024 31.08.2029
NO0013405118 Voss Veksel ASA 24/35 FRN C SUB 817244742 Tier 2 21.11.2024 21.05.2035
NO0012525577 VAST 169 Västerås Stad 22/27 FRN 212000-2080 Bond 18.05.2022 18.05.2027
NO0012639501 VAST 170 Västerås Stad 22/27 FRN 212000-2080 Bond 26.08.2022 26.08.2027
NO0012708769 VAST 171 Västerås Stad 22/27 FRN 212000-2080 Bond 27.09.2022 27.09.2027
NO0013035212 VAST 179 Västerås Stad 23/28 FRN 212000-2080 Bond 10.10.2023 10.10.2028
US92212WAA80 Vår Energi ASA 22/27 5,00% C 919160675 Bond 18.05.2022 18.05.2027
USR9576ZAA68 Vår Energi ASA 22/27 5,00% C 919160675 Bond 18.05.2022 18.05.2027
US92212WAD20 US92212WAD20 Vår Energi ASA 22/28 7,50% C 919160675 Bond 15.11.2022 15.01.2028
USR9576ZAD08 USR9576ZAD08 Vår Energi ASA 22/28 7,50% C 919160675 Bond 15.11.2022 15.01.2028
US92212WAE03 US92212WAE03 Vår Energi ASA 22/32 8,00% C 919160675 Bond 15.11.2022 15.11.2032
USR9576ZAE80 USR9576ZAE80 Vår Energi ASA 22/32 8,00% C 919160675 Bond 15.11.2022 15.11.2032
XS2599156192 XS2599156192 Vår Energi ASA 23/29 5,50% C 919160675 Bond 04.05.2023 04.05.2029
XS2708134023 XS2708134023 Vår Energi ASA 23/83 ADJ C SUB 919160675 Bond 15.11.2023 15.11.2083
NO0013255497 Waldorf Energ Plc NO0012847674 IN 020624 14597783 Claim, Interest 02.06.2024 31.12.2099
NO0013255489 Waldorf Energ Plc NO0012847674 RD 020624 14597783 Claim, Redemption 02.06.2024 02.03.2026
NO0012847674 WEFP01 PRO Waldorf Energy Fi Plc 23/26 12,00% USD C 14597783 Bond 02.03.2023 02.03.2026
NO0011100935 WPUK01 PRO Waldorf Produ Plc 21/25 9,75% USD STEP C 05030838 Bond 01.10.2021 02.09.2025
NO0013280206 WPUK02 PRO Waldorf Productio Plc 24/25 13,00% USD C 05030838 Bond 19.07.2024 02.09.2025
NO0011082091 WAWI01 Wallenius Wilhelmsen ASA 21/26 FRN FLOOR 995216604 Bond 03.09.2021 03.03.2026
NO0012495912 WAWI02 ESG Wallenius Wilhelmsen ASA 22/27 FRN FLOOR 995216604 Bond 21.04.2022 21.04.2027
NO0012992090 WAWI03 ESG Wallenius Wilhelmsen ASA 23/28 FRN FLOOR 995216604 Bond 31.08.2023 31.08.2028
XS0947848593 XS0947848593 Wells Fargo & Company 13/25 4,11% NOK 251212 Bond 02.07.2013 02.07.2025
XS1241942611 XS1241942611 Wells Fargo & Company 15/27 3,065% NOK 251212 Bond 10.06.2015 10.06.2027
XS1224677325 XS1224677325 Wells Fargo & Company 15/35 2,86% NOK 251212 Bond 05.05.2015 05.05.2035
XS1312950576 XS1312950576 Wells Fargo & Company 15/35 3,50% NOK 251212 Bond 30.10.2015 30.10.2035
NO0012939661 WHMID01 PRO Whitworth Midco Limi 23/27 12,875% USD C 14482792 Bond 21.06.2023 21.06.2027
NO0010811706 WILLH 120 Willhem AB 17/27 2,86% 556797-1295 Bond 06.12.2017 06.12.2027
NO0010805393 WILLH118 Willhem AB 17/27 2,87% 556797-1295 Bond 13.09.2017 13.09.2027
NO0010832785 WOW001 Wow air hf. 18/21 FRN EUR FLOOR 4510110220 Bond 24.09.2018 24.09.2021
NO0010848666 Wow air hf. NO0010832785 IN 250319 4510110220 Claim, Interest 25.03.2019 25.03.2099
NO0011110421 Wow air hf. NO0010832785 RD 240921 4510110220 Claim, Redemption 24.09.2021 24.09.2099
NO0010737208 WPC Smalvollveien Purch AS 15/25 4,20% C 915244955 Bond 28.05.2015 28.05.2025
NO0011184764 Xait AS 21/27 FRN SEK FLOOR C 982339243 Bond 30.12.2021 30.06.2027
NO0013387233 Xait AS 24/27 FRN SEK FLOOR C 982339243 Bond 31.10.2024 30.06.2027
NO0010727993 YAR11 Yara International ASA 14/24 3,00% 986228608 Bond 18.12.2014 18.12.2024
US984851AD75 Yara International ASA 16/26 3,80% 986228608 Bond 06.06.2016 06.06.2026
NO0010811987 YAR13 Yara International ASA 17/24 2,45% 986228608 Bond 13.12.2017 13.12.2024
NO0010811995 YAR12 Yara International ASA 17/27 2,90% 986228608 Bond 13.12.2017 13.12.2027
US984851AF24 Yara International ASA 18/28 4,75% C 986228608 Bond 01.06.2018 01.06.2028
USR9900CAR71 USR9900CAR71 Yara International ASA 18/28 4,75% C 986228608 Bond 01.06.2018 01.06.2028
US984851AG07 Yara International ASA 20/30 3,148% C 986228608 Bond 04.06.2020 04.06.2030
NO0011146383 YAR17 Yara International ASA 21/26 2,41% 986228608 Bond 10.11.2021 10.11.2026
NO0011146391 YAR18 Yara International ASA 21/26 FRN 986228608 Bond 10.11.2021 10.11.2026
NO0013261065 Yara International ASA 24/29 4,82% 986228608 Bond 20.06.2024 20.06.2029
NO0013261057 Yara International ASA 24/29 FRN 986228608 Bond 20.06.2024 20.06.2029
NO0013261081 Yara International ASA 24/34 5,04% 986228608 Bond 20.06.2024 20.06.2034
NO0013215509 Yinson Production Fin 24/29 9,625% USD C 202340079Z Bond 03.05.2024 03.05.2029
NO0012864448 ZAL02 Zalaris ASA 23/28 FRN EUR FLOOR C 981953134 Bond 28.03.2023 28.03.2028
NO0012839598 ZIKLO 410 Ziklo Bank AB 23/28 FRN 556069-0967 Bond 16.02.2023 16.02.2028
NO0013265215 ZIKLO 424 Ziklo Bank AB 24/29 FRN 556069-0967 Bond 27.06.2024 27.06.2029
NO0012928169 Ziton A/S 23/28 FRN EUR FLOOR STEP C 24620417 Bond 16.06.2023 09.12.2028
NO0012928185 ZITON01 Ziton A/S 23/28 FRN EUR FLOOR STEP C 24620417 Bond 09.06.2023 09.06.2028
NO0010704208 Øav 88 AS 14/25 LNK 998468531 Linked Notes 27.02.2014 15.12.2025
NO0010762842 Økernveien 9 AS 16/26 3,60% C 914569133 Bond 06.06.2016 06.06.2026
NO0013334151 Øksnes komm 4,602% CERT 365 160925 845152012 CD 16.09.2024 16.09.2025
NO0013319384 Øksnes komm 4,965% CERT 210 210325 845152012 CD 23.08.2024 21.03.2025
NO0012525668 OREB 140 Örebro kommun 22/27 FRN 212000-1967 Bond 18.05.2022 18.05.2027
NO0012637398 OREB 141 Örebro kommun 22/27 FRN 212000-1967 Bond 26.08.2022 26.08.2027
NO0012825456 OREB 145 Örebro kommun 23/28 FRN 212000-1967 Bond 31.01.2023 31.01.2028
NO0013008789 OREB 147 Örebro kommun 23/28 FRN 212000-1967 Bond 05.09.2023 05.09.2028
NO0012472564 OEKO04 Ørland komm 22/25 FRN 921806027 Bond 16.03.2022 17.03.2025
NO0012810508 OEKO05 Ørland komm 23/26 FRN 921806027 Bond 13.01.2023 13.01.2026
NO0012860933 OEKO06 Ørland komm 23/26 FRN 921806027 Bond 10.03.2023 10.03.2026
NO0013392365 OEKO07 Ørland komm 24/27 FRN 921806027 Bond 07.11.2024 05.11.2027
NO0013387290 Ørland komm 4,84% CERT 182 300425 921806027 CD 30.10.2024 30.04.2025
NO0013364950 Ørland komm 4,86% CERT 182 110425 921806027 CD 11.10.2024 11.04.2025
NO0013410480 Ørland komm 4,99% CERT 092 210225 921806027 CD 21.11.2024 21.02.2025
NO0010873524 ORLSB19 PRO Ørland Spb 20/25 FRN 937901925 Bond 22.01.2020 22.04.2025
NO0010890940 ORLSB20 PRO Ørland Spb 20/25 FRN 937901925 Bond 19.08.2020 19.11.2025
NO0012694241 ORLSB24 PRO Ørland Spb 22/26 FRN 937901925 Bond 06.09.2022 06.03.2026
NO0012520529 ORLSB23 PRO Ørland Spb 22/27 FRN 937901925 Bond 10.05.2022 10.05.2027
NO0013019729 ORLSB26 PRO Ørland Spb 23/26 FRN 937901925 Bond 15.09.2023 15.09.2026
NO0012939125 ORLSB25 PRO Ørland Spb 23/28 FRN 937901925 Bond 09.06.2023 09.06.2028
NO0013355230 ORLSB29 PRO Ørland Spb 24/27 FRN 937901925 Bond 27.09.2024 27.09.2027
NO0013162685 ORLSB27 PRO Ørland Spb 24/29 FRN 937901925 Bond 19.02.2024 19.02.2029
NO0013314708 ORLSB28 PRO Ørland Spb 24/29 FRN 937901925 Bond 15.08.2024 15.08.2029
NO0010891666 ORSP11 PRO Ørskog Spb 20/30 FRN C SUB 837900212 Tier 2 28.08.2020 28.08.2030
NO0011025751 ORSP13 PRO Ørskog Spb 21/25 FRN 837900212 Bond 11.06.2021 11.06.2025
NO0010932528 ORSP12 PRO Ørskog Spb 21/26 FRN 837900212 Bond 18.02.2021 18.05.2026
NO0011125577 ORSP14 PRO Ørskog Spb 21/26 FRN 837900212 Bond 13.10.2021 13.10.2026
NO0012719170 ORSP16 PRO Ørskog Spb 22/25 FRN 837900212 Bond 06.10.2022 06.10.2025
NO0012639535 ORSP15 PRO Ørskog Spb 22/PERP FRN C HYBRID 837900212 Tier 1 01.09.2022 01.09.2099
NO0013038919 ORSP17 PRO Ørskog Spb 23/28 FRN 837900212 Bond 12.10.2023 12.10.2028
NO0013363820 ORSP19 PRO Ørskog Spb 24/27 FRN 837900212 Bond 11.10.2024 11.10.2027
NO0013209825 ORSP18 PRO Ørskog Spb 24/29 FRN 837900212 Bond 12.04.2024 12.04.2029
NO0011095390 OERKO04 Ørsta komm 21/25 1,504% 939461450 Bond 10.09.2021 10.09.2025
NO0012853425 OERKO06 Ørsta komm 23/25 4,21% 939461450 Bond 28.02.2023 28.02.2025
NO0013330571 OERKO09 Ørsta komm 24/26 4,042% 939461450 Bond 09.09.2024 09.09.2026
NO0013251215 OERKO08 Ørsta komm 24/26 FRN 939461450 Bond 03.06.2024 03.06.2026
NO0013197103 OERKO07 Ørsta komm 24/27 4,584% 939461450 Bond 05.04.2024 05.04.2027
NO0013384644 Ørsta komm 4,625% CERT 365 281025 939461450 CD 28.10.2024 28.10.2025
NO0013318733 Ørsta komm 4,807% CERT 092 221124 939461450 CD 22.08.2024 22.11.2024
NO0013311951 Ørsta komm 4,83% CERT 273 120525 939461450 CD 12.08.2024 12.05.2025
NO0013252494 Ørsta komm FRN CERT 364 060625 939461450 CD 07.06.2024 06.06.2025
NO0010955263 Øst Bygg & Handel AS 21/26 3,50% C 925518964 Bond 18.03.2021 18.03.2026
NO0010771322 Östermyra Bruk AB 16/19 13,00% C 556982-9178 Bond 12.09.2016 31.01.2019
NO0010771330 Östermyra Bruk AB 16/19 13,00% SEK C 556982-9178 Bond 12.09.2016 31.01.2019
NO0010624026 OSEN08 Østfold Energi AS 11/25 5,64% 879904412 Bond 29.08.2011 29.08.2025
NO0010798176 OSFY03 Østfold fylke 17/27 2,42% 930580694 Bond 21.06.2017 21.06.2027
NO0013007435 VIFY09 Østfold fylke 23/25 FRN 930580694 Bond 29.08.2023 29.08.2025
NO0013229195 OSFY11 Østfold fylke 24/26 FRN 930580694 Bond 13.05.2024 13.05.2026
NO0013182923 OSFY10 Østfold fylke 24/30 4,215% 930580694 Bond 18.03.2024 18.03.2030
NO0013405142 Østfold fylke 4,77% CERT 334 131025 930580694 CD 13.11.2024 13.10.2025
NO0013229179 Østfold fylke 4,875% CERT 291 280225 930580694 CD 13.05.2024 28.02.2025
NO0013170902 Østfold fylke 4,984% CERT 365 280225 930580694 CD 29.02.2024 28.02.2025
NO0011031379 Østre Aker Vei 31 AS 21/25 3,56% C 985986789 Bond 30.06.2021 30.06.2025
NO0013228544 Østre Toten Bolig 4,985% CERT 365 080525 960415108 CD 08.05.2024 08.05.2025
NO0013191015 Østre Toten Boligs 5,07% CERT 365 270325 960415108 CD 27.03.2024 27.03.2025
NO0012509282 OTKO07 Østre Toten komm 22/25 FRN 964949859 Bond 25.04.2022 25.04.2025
NO0012909326 OTKO08 Østre Toten komm 23/28 3,933% 964949859 Bond 08.05.2023 08.05.2028
NO0013256149 OTKO09 Østre Toten komm 24/26 FRN 964949859 Bond 07.06.2024 08.06.2026
NO0013360594 OTKO10 Østre Toten komm 24/27 FRN 964949859 Bond 07.10.2024 07.04.2027
NO0013336313 Østre Toten komm 4,619% CERT 273 160625 964949859 CD 16.09.2024 16.06.2025
NO0013176578 Østre Toten komm 4,987% CERT 308 100125 964949859 CD 08.03.2024 10.01.2025
NO0013405845 Øyer komm 4,99% CERT 091 140225 961381185 CD 15.11.2024 14.02.2025
NO0011082117 OFWI01 ESG Øyfjellet Wind Inve AS 21/26 2,75% EUR C 927378779 Bond 14.09.2021 14.09.2026
NO0011203556 OYKO02 Øygarden komm 22/25 FRN 922530890 Bond 14.01.2022 14.01.2025
NO0013355339 OYKO05 Øygarden komm 24/26 FRN 922530890 Bond 27.09.2024 28.09.2026
NO0013365015 OYKO06 Øygarden komm 24/26 FRN 922530890 Bond 11.10.2024 09.10.2026
NO0013256859 OYKO03 Øygarden komm 24/27 FRN 922530890 Bond 07.06.2024 07.06.2027
NO0013261693 OYKO04 Øygarden komm 24/27 FRN 922530890 Bond 14.06.2024 14.06.2027
NO0013388520 Øygarden komm 4,825% CERT 181 060525 922530890 CD 06.11.2024 06.05.2025
NO0013166520 Øygarden komm 5,009% CERT 366 210225 922530890 CD 21.02.2024 21.02.2025
NO0013180836 Øygarden komm 5,01% CERT 365 120325 922530890 CD 12.03.2024 12.03.2025
NO0010756786 AEN54 Å Energi AS 16/26 3,05% 981952324 Bond 29.01.2016 29.01.2026
NO0010795446 AEN60 Å Energi AS 17/27 2,71% 981952324 Bond 30.05.2017 30.04.2027
NO0010809486 AEN61 ESG Å Energi AS 17/27 2,88% 981952324 Bond 02.11.2017 02.11.2027
NO0010861834 AEN66 Å Energi AS 19/26 FRN 981952324 Bond 12.09.2019 11.09.2026
NO0010856172 AEN69 Å Energi AS 19/29 2,80% 981952324 Bond 11.06.2019 11.06.2029
NO0010894371 AEN26 ESG Å Energi AS 20/25 FRN 981952324 Bond 30.09.2020 30.09.2025
NO0010895378 AEN71 ESG Å Energi AS 20/25 FRN 981952324 Bond 14.10.2020 14.10.2025
NO0013013912 AEN73 ESG Å Energi AS 23/28 5,24% 981952324 Bond 19.09.2023 19.09.2028
NO0013013920 AEN74 ESG Å Energi AS 23/30 5,195% 981952324 Bond 19.09.2023 19.09.2030
NO0013138974 AEN75 ESG Å Energi AS 24/27 FRN 981952324 Bond 05.02.2024 05.02.2027
NO0013406520 Å Energi AS 24/28 FRN 981952324 Bond 27.11.2024 28.02.2028
NO0013251850 AEN79 ESG Å Energi AS 24/29 4,79% 981952324 Bond 05.06.2024 05.09.2029
NO0013138982 AEN76 ESG Å Energi AS 24/29 FRN 981952324 Bond 05.02.2024 05.02.2029
NO0013251843 AEN78 ESG Å Energi AS 24/29 FRN 981952324 Bond 05.06.2024 05.09.2029
NO0013181537 AEN77 ESG Å Energi AS 24/31 4,545% 981952324 Bond 25.03.2024 25.03.2031
NO0010890718 AAKO18 Ålesund komm 20/25 0,93% 929911709 Bond 14.08.2020 14.08.2025
NO0012627035 AAKO22 Ålesund komm 22/25 FRN 929911709 Bond 19.08.2022 14.02.2025
NO0012928813 AAKO23 Ålesund komm 23/25 FRN 929911709 Bond 30.05.2023 30.05.2025
NO0013023358 AAKO25 Ålesund komm 23/26 FRN 929911709 Bond 22.09.2023 23.03.2026
NO0013320796 AAKO26 Ålesund komm 24/29 3,964% 929911709 Bond 27.08.2024 27.08.2029
NO0013334789 Ålesund komm 4,482% CERT 364 120925 929911709 CD 13.09.2024 12.09.2025
NO0013311324 Ålesund komm 4,635% CERT 305 100625 929911709 CD 09.08.2024 10.06.2025
NO0013228569 Ålesund komm 4,871% CERT 365 080525 929911709 CD 08.05.2024 08.05.2025
NO0013191023 Ålesund komm 4,92% CERT 365 020425 929911709 CD 02.04.2024 02.04.2025
NO0013359406 Åmli komm 4,90% CERT 087 271224 864965962 CD 01.10.2024 27.12.2024
NO0013223511 AASKO03 Ås komm 24/26 FRN 964948798 Bond 06.05.2024 06.05.2026
NO0013336198 Ås komm 4,478% CERT 364 120925 964948798 CD 13.09.2024 12.09.2025
NO0013335471 Ås komm 4,83% CERT 091 131224 964948798 CD 13.09.2024 13.12.2024
NO0013324749 Ås komm 4,85% CERT 092 291124 964948798 CD 29.08.2024 29.11.2024
NO0010891948 AASB24 PRO Aasen Spb 20/30 FRN C SUB 937903502 Tier 2 03.09.2020 03.09.2030
NO0010975667 AASB26 PRO Aasen Spb 21/25 FRN 937903502 Bond 09.04.2021 09.09.2025
NO0011091282 AASB27 PRO Aasen Spb 21/26 FRN 937903502 Bond 03.09.2021 03.09.2026
NO0011155236 AASB30 PRO Aasen Spb 21/26 FRN 937903502 Bond 17.11.2021 03.02.2026
NO0011089690 AASB28 PRO Aasen Spb 21/31 FRN C SUB 937903502 Tier 2 08.09.2021 08.09.2031
NO0012424086 AASB31 PRO Aasen Spb 22/27 FRN 937903502 Bond 24.01.2022 24.02.2027
NO0012643339 AASB32 PRO Aasen Spb 22/PERP FRN C HYBRID 937903502 Tier 1 30.08.2022 30.08.2099
NO0013388405 AASB37 PRO Aasen Spb 24/27 FRN 937903502 Bond 05.11.2024 05.11.2027
NO0013185850 AASB33 PRO Aasen Spb 24/29 FRN 937903502 Bond 22.03.2024 22.03.2029
NO0013331249 AASB36 PRO Aasen Spb 24/29 FRN 937903502 Bond 12.09.2024 12.09.2029
NO0013266775 AASB34 PRO Aasen Spb 24/34 ADJ C SUB 937903502 Tier 2 27.06.2024 27.12.2034
NO0013266817 AASB35 PRO Aasen Spb 24/PERP ADJ C HYBRID 937903502 Tier 1 27.06.2024 27.06.2099
NO0013328633 Åsnes komm 4,84% CERT 091 031224 964948232 CD 03.09.2024 03.12.2024
NO0013328641 Åsnes komm 4,84% CERT 091 031224 964948232 CD 03.09.2024 03.12.2024
NO0010816242 Åssiden Omsorgsboliger AS 18/28 3,80% 919680636 Bond 15.02.2018 15.02.2028