infobolsa.instrumentList:headers.issue
infobolsa.instrumentList:headers.name infobolsa.instrumentList:headers.isin infobolsa.instrumentList:headers.volumeFixedIncome infobolsa.instrumentList:headers.averagePrice
Bonos
BS AE-CAJASTUR- 4. ES0314826076 800 102,070
BS BANESTO- 4.080 03/2 ES0313440143 100 102,440
BS CAIXABANK- 3 01/2016 ES0340609140 3.600 100,910
BS CAIXABANK- 3 05/2018 ES0340609199 6.600 95,740
BS CRITERIA- 4.125 11 ES0340609009 1.800 103,220
BS LA CAIXA- 3.750 11 ES0314970163 20.700 101,040
BS MAPFRE- 5.12 11/2015 ES0324244005 1.400 105,040
Bonos matador
Cédulas hipotecarias
CH B.B.V.A 07/2014 ES0413211055 1.800 103,180
CH B.S.C.H. 07/2016 ES0413900061 300 106,930
CH BANCO PASTOR 03/2015 ES0413770001 100 102,340
CH BANESTO 09/2014 ES0413440050 5.100 103,620
CH B. POPULAR- 3.50 ES0413790108 2.000 100,620
CH B. POPULAR- 4.37 ES0413790058 100 102,450
CH B. POPULAR- 4.12 ES0413790074 100 103,430
CH B. SABADELL- 02/2015 ES0413860281 1.200 102,830
CH B. SABADELL- 3. ES0413860182 200 101,170
CH B. SABADELL- 01/2018 ES0413860323 1.800 101,930
CH B. SABADELL- 09/2014 ES0413860299 200 103,220
CH B.B.V.A- 4.250 01/2 ES0413211170 75.000 106,620
CH B.B.V.A- 3.000 10/2 ES0413211337 500 102,100
CH B.B.V.A- 4.125 01/2 ES0413211410 3.600 101,890
CH B.B.V.A- 3.5 12/2017 ES0413211782 300 103,590
CH B.B.V.A- 3.8 01/2023 ES0413211790 500 103,780
CH B.B.V.A- 4.750 02/2 ES0413211428 200 106,990
CH B.B.V.A- 4.250 03/2 ES0413211469 1.100 104,290
CH B.B.V.A- 3.750 10/2 ES0413211154 30.800 100,940
CH B.B.V.A- 3.500 07/2 ES0413211386 19.900 100,310
CH BANCO PASTOR- ES0413770019 4.000 100,760
CH BANESTO- 4.625 03/2 ES0413440217 19.800 104,980
CH BANKIA- 4.00 02/2014 ES0413307028 17.000 101,320
CH BANKINTER- 2 07/2016 ES0413679269 49.900 100,110
CH BANKINTER- 4 03/2017 ES0413679178 3.750 104,960
CH BANKINTER- 3 10/2015 ES0413679202 400 103,600
CH BANKINTER- 3.750 ES0413679095 300 100,780
CH C.RURAL NAVA- 06/2018 ES0415306002 4.000 99,660
CH CAIXABANK- 3 03/2018 ES0440609206 400 99,140
CH CAJA MADRID- 4. ES0414950669 4.000 102,250
CH CAJA MADRID- 4. ES0414950644 11.000 80,500
CH CAJA MADRID- 3. ES0414950784 500 101,300
CH CAJA MADRID- 3. ES0414950776 50 100,510
CH CAJA MADRID- 4. ES0414950842 1.000 102,130
CH CAJAMAR- 3.500 10/2 ES0414601023 100 100,800
CH CAJAMAR- 3.3 05/2016 ES0422714016 1.900 98,860
CH LA CAIXA- 4.750 03 ES0414970667 650 104,810
CH LA CAIXA- 5.000 02 ES0414970659 5.650 107,560
CH LA CAIXA- 5.125 04 ES0414970683 450 107,950
CH LA CAIXA- 3.125 09 ES0414970584 400 100,590
CH LA CAIXA- 4.250 01 ES0414970295 200 106,150
CH LA CAIXA- 4.625 06 ES0414970402 1.050 108,360
CH SANT CONSUME- ES0413495005 900 104,770
CH SANTANDER- 2 01/2018 ES0413900327 2.100 100,830
CH SANTANDER- 3 02/2015 ES0413900285 19.800 102,610
CH SANTANDER- 4.625 ES0413900228 7.200 106,770
CH SANTANDER- 3.625 ES0413900210 100 104,990
CH SANTANDER- 3.125 ES0413900202 400 102,460
CH SANTANDER- 3.875 ES0413900186 2.200 102,590
CH03D 10/2020 ES0413211105 1.300 103,200
CH041 06/2014 ES0414970238 9.850 102,150
CH045 01/2016 ES0413211113 5.000 103,000
CH046 01/2021 ES0413211121 7.000 102,600
CH047 02/2014 ES0413900111 1.500 101,680
CH048 02/2026 ES0413900129 2.000 102,710
ES0413900244 2.100 104,660
ES0413440266 8.100 104,560
CH LA CAIXA 02/2025 ES0414970204 3.300 99,250
LA CAIXA- 4.250 10/2013 ES0414970188 12.800 101,250
CH LA CAIXA 10/2015 ES0414970212 2.000 102,900
Cédulas multicedentes
Cédulas territoriales
CT SANTANDER- 4.625 ES0413900251 200 106,180
Obligaciones
OS ABERTIS 03/2020 ES0211845203 500 105,540
OS ABERTIS- FIJ 10/2019 ES0211845252 100 108,250
OS ABERTIS- 4.625 10/2 ES0211845237 3.850 107,140
OS B. SABADELL-Sb V ES0213860036 100 88,200
OS B. SABADELL-Sb ES0213860051 700 102,000
OS BANKINTER-Sb 6.37 ES0213679196 50 101,490
OS C.A.MEDITERR- 08/2015 ES0214400055 3 90,350
OS C.SABADELL-Sb VBL ES0214973069 400 86,860
OS MAPFRE-Sb VBLE 07/203 ES0224244063 50 94,660
OS283 12/2015 ES0215474190 1.000 33,370
Pagarés Empresa
PE BBVA FINANC D 07/2013 ES05136889L0 10 99,720
PE BBVA FINANC D 08/2013 ES05136889P1 5 99,680
PE BBVA FINANC D 08/2013 ES05136889V9 2 99,650
PE BBVA FINANC D 10/2013 ES0513688C82 10 99,230
PE BBVA FINANC D 09/2013 ES0513688J77 12 99,320
PE BBVA FINANC D 07/2013 ES05136889A3 107 99,780
PE BBVA FINANC D 07/2013 ES05136889H8 5 99,750
PE C.RURAL NAVA 01/2014 ES0515306X84 185 98,080
PE SANTANDER DES 07/2013 ES0513900XJ4 156 99,800
PE SANTANDER DES 07/2013 ES0513900TZ8 200 99,880
Participaciones preferentes
PPR BBVA INT.-F V KYG090001119 2 80,000
Titulación en activos