Andando a spulciare il foglio
http://spreadsheets.google.com
Sulla pagina parametri,mi sono divertito a selezionare quelle P. con rendimenti pre call e a scadenza piu' elevati, ho evitato quei nomi consueti di cui parliamo sempre.
Ne e' venuta fuori questa lista:
Secondo voi e' tutta spazzatura o c'e' qualche perla nascosta da prendere in considerazione?
Nome/ISIN/prezzi bid ask/cedola/call/cedola post call/rendimento alla call/YTC
Commerzbank Cap. Fund. Trust I DE000A0GPYR7 53,32 53,63 5,012% 12/04/2016 euribor 3m + 2,15% 9,35% 19,35%
Déxia Funding Luxembourg XS0273230572 51 51,5 4,892% 02/11/2016 Euribor 3 mesi + 1,78% 9,50% 19,31%
Investec XS0222692328 65 65 7,075% 24/06/2015 euribor 3m + 5,625% 10,88% 18,69%
Irish Life XS0285885009 45 50 5,25% 08/02/2017 euribor 3m + 2,03% 10,50% 20,38%
AIB XS0151811253 25 26 7,625% 23/07/2027 libor £ 6m + 2,40% 29,33% 37,18%
Barclays Bank PLC XS0350187430 85 90 8,25% 15/12/2018 libor £ 3m + 4,00% 9,17% 10,32%
HBOS Capital Funding N° 4 XS0353590366 70,63 71,61 9,54% 19/03/2018 libor £ 3m + 6,75% 13,32% 17,34%
Investec XS0283613437 67,43 68,43 6,25% 23/01/2017 libor £ 3m + 2,11% 9,13% 14,46%
Barclays Bank PLC US06739H5110 23,71 23,79 7,75% 15/03/2013 invariata 32,58% 84,04%
BNP Paribas USF1058YHV32 79 79 8,05% 29/06/2015 invariata 10,19% 14,38%
.
HSBC US4042806046 21,55 21,62 6,2% 16/12/2010 28,68% 282,84%
HSH Nordbank Resparcs XS0159207850 24,41 24,59 8% 28/09/2009 32,53% 46
.
LLyods XS0156923913 69,25 69,68 6,35% 25/02/2013 euribor 3m + 2,50% 9,11% 20,31%
BAYERISCHE LANDESBANK XS0290135358 36,26 36,49 6,203% 31/05/2017 17,00% 31,05%
.
DEUTSCHE APOTHEKEN BANK DE0001365880 50 60 7,133% 31/07/2014 11,89% 23,04%
HYPO REAL ESTATE XS0303478118 18,97 19,03 5,864% 14/06/2017 30,81% 54,84%
LB SCHLESWIG-HOLSTEIN XS0142391894 26,75 32,75 7,408% 30/06/2014 22,62% 49,11%
ANGLO IRISH ASSET XS0268814125 19,97 20,22 5,219% 29/09/2016 25,81% 51,48%
SNS REAL GROEP XS0310904155 60,47 60,97 6,258% 17/07/2017 10,26% 16,82%
BANCAJA XS0205497778 45 45 4,625% 17/11/2014 10,28% 27,12%
BANCAJA INTL FIN ES0214977102 48,03 48,64 4,375% 03/03/2016 8,99% 20,87%
.
BANCO PASTOR UT2 ES0213770011 45,17 45,83 11/06/2014 0,00% 18,07%