MTS FINLAND BOND LIST excel
Instrument Code Description Bond Type Maturity Date Coupon First Coupon Date First Trading Date
FI4000571104RFGB 3.000 15/09/34RFG15/09/20343.00015/09/202424/04/2024
FI4000566294RFGB 2.950 15/04/55RFG15/04/20552.95015/04/202418/01/2024
FI4000557525RFGB 2.875 15/04/29RFG15/04/20292.87515/04/202424/08/2023
FI4000550249RFGB 3.000 15/09/33RFG15/09/20333.00015/09/202327/04/2023
FI4000546528RFGB 2.750 15/04/38RFG15/04/20382.75015/04/202327/01/2023
FI4000527551RFGB 1.375 15/04/27RFG15/04/20271.37515/04/202324/08/2022
FI4000523238RFGB 1.500 15/09/32RFG15/09/20321.50015/09/202225/05/2022
FI4000517677RFGB 0.500 15/04/43RFG15/04/20430.50015/04/202227/01/2022
FI4000511449RFGB 0 15/09/26RFG15/09/20260.000-25/08/2021
FI4000507231RFGB 0.125 15/09/31RFG15/09/20310.12515/09/202120/05/2021
FI4000480488RFGB 0.125 15/04/52RFG15/04/20520.12515/04/202103/02/2021
FI4000441878RFGB 0 15/09/30RFG15/09/20300.000-27/08/2020
FI4000440557RFGB 0.250 15/09/40RFG15/09/20400.25015/09/202011/06/2020
FI4000415153RFGB 0.125 15/04/36RFG15/04/20360.12515/04/202005/02/2020
FI4000391529RFGB 0 15/09/24RFG15/09/20240.000-29/08/2019
FI4000369467RFGB 0.500 15/09/29RFG15/09/20290.50015/09/201906/02/2019
FI4000348727RFGB 0.500 15/09/28RFG15/09/20280.50015/09/201929/08/2018
FI4000306758RFGB 1.125 15/04/34RFG15/04/20341.12515/04/201807/02/2018
FI4000278551RFGB 0.500 15/09/27RFG15/09/20270.50015/09/201831/08/2017
FI4000242870RFGB 1.375 15/04/47RFG15/04/20471.37515/04/201709/02/2017
FI4000197959RFGB 0.500 15/04/26RFG15/04/20260.50015/04/201702/03/2016
FI4000167317RFGB 0.875 15/09/25RFG15/09/20250.87515/09/201626/08/2015
FI4000148630RFGB 0.750 15/04/31RFG15/04/20310.75015/04/201604/03/2015
FI4000046545RFGB 2.625 04/07/42RFG04/07/20422.62504/07/201327/06/2012
FI4000037635RFGB 2.750 04/07/28RFG04/07/20282.75004/07/201202/02/2012
FI4000006176RFGB 4.000 04/07/25RFG04/07/20254.00004/07/201013/10/2009