سندات 2M6

فيما يلي قائمة بسندات الشركات MEDTRONIC PLC. غالبًا ما يختار المستثمرون سندات الشركة لزيادة استقرارها في أوقات تقلبات السوق. ادرس الأسعار والعوائد والإحصائيات الأخرى وابحث عن استثمار موثوق.
رمز
YTM %
حجم التداول
سعر %
كوبون %
تاريخ الاستحقاق
حصيرة متميزة
القيمة الاسمية
حصيرة الدنيم الرئيسية
المُصدر
MMDT4099940Medtronic, Inc. 4.625% 15-MAR-2044
6.10%30 K86.91%4.63%2044-03-15127.12 M USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDTAMEDTRONIC 13/43
5.94%083.04%4.00%2043-04-01305.07 M USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT4284342Medtronic, Inc. 4.625% 15-MAR-2045
5.85%11.06 M88.63%4.63%2045-03-151.81 B USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT3831466Medtronic, Inc. 4.5% 15-MAR-2042
5.57%6.01 M90.51%4.50%2042-03-15104.53 M USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT.GOMedtronic, Inc. 5.55% 15-MAR-2040
5.50%300 K100.40%5.55%2040-03-15224.11 M USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT3673737Covidien International Finance SA 6.55% 15-OCT-2037
5.42%140 K108.49%6.55%2037-10-15253.22 M USD1,000.00 USD2,000.00 USDCovidien International Finance SA
MMDT.GMMedtronic, Inc. 6.5% 15-MAR-2039
5.34%5 M109.36%6.50%2039-03-15157.63 M USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT4284341Medtronic, Inc. 4.375% 15-MAR-2035
5.31%2.41 M93.82%4.38%2035-03-151.93 B USD1,000.00 USD2,000.00 USDMedtronic, Inc.
MMDT5559704Medtronic Global Holdings S.C.A. 4.5% 30-MAR-2033
5.25%1.47 M95.69%4.50%2033-03-301 B USD1,000.00 USD2,000.00 USDMedtronic Global Holdings SCA
XXS223879268MEDTR.GLB HD 20/50
4.71%064.11%1.63%2050-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
MMDT5559728Medtronic Global Holdings S.C.A. 4.25% 30-MAR-2028
4.70%300 K98.74%4.25%2028-03-301 B USD1,000.00 USD2,000.00 USDMedtronic Global Holdings SCA
XXS202067115MEDTR.GLB HD 19/49
4.60%067.21%1.75%2049-07-021 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS223879233MEDTR.GLB HD 20/40
4.27%072.72%1.38%2040-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS202067093MEDTR.GLB HD 19/39
4.22%075.61%1.50%2039-07-021 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS196067868MEDTR.GLB HD 19/39
4.00%084.22%2.25%2039-03-071 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS283436845MEDTRONIC 24/53
3.94%0102.81%4.15%2053-10-15700 M EUR1,000.00 EUR100,000.00 EURMedtronic, Inc.
XXS283436799MEDTRONIC 24/43
3.83%0103.53%4.15%2043-10-15600 M EUR1,000.00 EUR100,000.00 EURMedtronic, Inc.
XXS223879217MEDTR.GLB HD 20/32
3.54%083.04%0.75%2032-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS283436772MEDTRONIC 24/36
3.53%0102.84%3.88%2036-10-15850 M EUR1,000.00 EUR100,000.00 EURMedtronic, Inc.
XXS253530979MEDTR.GLB HD 22/34
3.47%099.33%3.38%2034-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS202067085MEDTR.GLB HD 19/31
3.37%087.43%1.00%2031-07-021 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS196067841MEDTR.GLB HD 19/31
3.27%091.58%1.63%2031-03-071 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS253530863MEDTR.GLB HD 22/31
3.21%099.51%3.13%2031-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS283436764MEDTRONIC 24/29
3.05%0102.50%3.65%2029-10-15850 M EUR1,000.00 EUR100,000.00 EURMedtronic, Inc.
XXS253530774MEDTR.GLB HD 22/25
3.01%099.72%2.63%2025-10-15500 M EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS223878946MEDTR.GLB HD 20/28
3.01%091.14%0.38%2028-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS253530847MEDTR.GLB HD 22/28
3.01%099.98%3.00%2028-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS196067825MEDTR.GLB HD 19/27
2.90%096.44%1.13%2027-03-071.5 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
XXS223878741MEDTR.GLB HD 20/25
2.81%097.98%0.00%2025-10-151 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
MM3DDMEDTR.GLB HD 19/25
2.77%098.89%0.25%2025-07-021 B EUR1,000.00 EUR100,000.00 EURMedtronic Global Holdings SCA
MMDT4189962Medtronic, Inc. 3.5% 15-MAR-2025
3.50%2025-03-151,000.00 USD2,000.00 USDMedtronic, Inc.