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Spain Government Bonds

Name des Landes
Spanien
Ratings
in Fremdwährung
  • M/S&P/F
    *** / *** / ***
Öffentliche Verschuldung
1.690.356 Mio. USD

Entdecken Sie die umfangreichste Datenbank

1 000 000

Anleihen weltweit

100 000

Aktien

175 910

ETF & Funds

100 000

Indizes

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Letzte Daten zum

Cbonds Total Return und Preis Indizes

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Indizes zum Vergleich

Schließen
31/07/2026
36,74 bps
31/07/2026
105,04
31/07/2026
98,54
31/07/2026
3,66 %
31/07/2026
2.494,00 days
31/07/2026
29,08 bps
31/07/2026
116,07 bps
31/07/2026
146,03
31/07/2026
90,88
31/07/2026
6,02 %
31/07/2026
1.875,00 days
31/07/2026
99,40 bps
31/07/2026
75,67 bps
31/07/2026
108,40
31/07/2026
101,78
31/07/2026
3,77 %
31/07/2026
1.529,00 days
31/07/2026
69,03 bps
31/07/2026
100,26 bps
31/07/2026
145,22
31/07/2026
90,67
31/07/2026
5,88 %
31/07/2026
1.886,00 days
31/07/2026
83,19 bps
31/07/2026
243,41 bps
31/07/2026
123,65
31/07/2026
100,28
31/07/2026
5,88 %
31/07/2026
560,00 days
31/07/2026
236,17 bps

Cbonds Anleihenmarkt-Statistiken

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Indizes zum Vergleich

Schließen
31/07/2026
408,589 USD Billion
31/07/2026
541,311 USD Billion
31/07/2026
411,035 USD Billion
31/07/2026
0,786 USD Billion
31/07/2026
62,777 USD Billion
31/07/2026
1,659 USD Billion
31/07/2026
1.047 Units
31/07/2026
17,0000 Units
31/07/2026
13 Units
31/07/2026
6 Units
31/07/2026
13 Units
31/07/2026
0 Units
31/07/2026
1 Units
31/07/2026
10,0000 Units
31/07/2026
0 Units
31/07/2026
1.460,0000 Units
31/07/2026
1.032 Units
31/07/2026
1.038 Units
31/07/2026
251,0000 Units
31/07/2026
10 Units
31/07/2026
171 Units
31/07/2026
5 Units
31/07/2026
2.316,2477 USD Billion
31/07/2026
1.712,1596 USD Billion
31/07/2026
23,6263 USD Billion
31/07/2026
0,458 USD Billion
31/07/2026
1,593 USD Billion
31/07/2026
0,458 USD Billion
31/07/2026
0,000 USD Billion
31/07/2026
0,103 USD Billion
31/07/2026
21,9302 USD Billion
31/07/2026
0,000 USD Billion

Kurse

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Profil

Spanish government bonds are obligations of the Spanish government issued by the Spanish Public Treasury.

Letras del Tesoro are short-term fixed income instruments. They were created in June 1987, when the book-entry system was established. Letras are issued in auctions. These instruments are issued at a discount. Treasury currently issues Letras del Tesoro with the following terms: 3-month, 6-month, 9-month and 12-month.

Bonos and Obligaciones del Estado are Treasury Securities with maturities above two years. Bonos and Obligaciones have exactly the same features, except for their maturity. Maturities of Bonos range from two to five years, while Obligaciones have maturities of more than five years.

The issuance of Bonos and Obligaciones del Estado is made through competitive auctions. The Treasury currently issues Government Bonds with the following maturities: 2-year, 3-year, 5-year, 10-year, 15-year, 30-year.

Since the beginning of the 1980s, the Kingdom of Spain has taken an active part in international capital markets, which has allowed it to diversify its financing sources and risk distribution. At present, foreign currency-denominated financing plays a complementary role to euro-denominating financing, in addition to the possible obtaining of cost savings. One of its primordial objectives, in addition to the potential obtaining of cost savings through arbitration-based transactions, is to diversify the international investor base in bonds issued by the Kingdom of Spain. The percentage of the Treasury debt in foreign currency with respect to total debt in circulation is around 1.5%.

Auszeichnungen

Dokumente

Aktien

Letzte Anleihen

Mitarbeit in internationalen Organisationen

Anleihenschuld nach Währung

Codes

  • LEI
    9598007A56S18711AH60
  • SWIFT
    TPSGESMMXXX
  • SIC
    9199 General government
  • NACE
    *** ***
  • NAICS
    *** ***

Makroökonomie

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