| Waehrungsanleihen | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| EIB XS0423205524 Bank |
105,05% 29.07.10 14:22 |
3,38% 2,08% 1.000 |
08.09.14 08.09.gzj |
AAA Aaa GBP |
||||||||
| General Elec. Cap.Corp. XS0343643382 Bank |
106,20% 29.07.10 14:22 |
4,25% 1,68% 1.000 |
31.01.13 31.01.gzj. |
AA+ Aa2 USD |
||||||||
| EIB XS0178483649 Bank |
102,55% 29.07.10 14:22 |
8,00% 7,07% 5.000 |
21.10.13 21.10.gzj. |
AAA Aaa ZAR |
||||||||
| Rabobank Nederlande (Aust) XS0440737905 Bank |
100,85% 29.07.10 14:22 |
5,50% 5,04% 1.000 |
27.07.12 27.07.gzj. |
AAA Aaa AUD |
||||||||
| KFW XS0440570777 Bank |
102,25% 29.07.10 14:22 |
5,13% 4,30% 1.000 |
22.07.13 22.07.gzj. |
AAA Aaa NZD |
||||||||
| Rentenbank XS0480714061 Bank |
103,50% 29.07.10 14:22 |
3,75% 2,90% 1.000 |
29.01.15 29.01.gzj |
AAA Aaa NOK |
||||||||
| Bank Nederlandse Gemeenten XS0492305593 Bank |
102,95% 29.07.10 09:33 |
5,50% 4,73% 1.000 |
05.12.14 05.12.gzj |
AAA Aaa NZD |
||||||||
| Nestle Finance Intl XS0497461649 Lebensmittel |
103,55% 29.07.10 09:33 |
5,75% 4,82% 2.000 |
18.12.14 18.12.gzj. |
AA Aa1 AUD |
||||||||
| EIB XS0465407194 Bank |
103,50% 29.07.10 09:33 |
9,00% 7,34% 1.000 |
22.01.13 22.01.gzj. |
AAA Aaa TRY |
||||||||
| Rabobank Nederlande XS0419607956 Bank |
101,75% 29.07.10 09:33 |
n.v. 1,92% 10.000 |
03.04.12 03.04.gzj. |
AAA Aaa NOK |
||||||||
| General Electric Capital Corporation XS0494562639 Bank |
104,05% 29.07.10 14:22 |
3,13% 1,95% 2.000 |
12.03.14 12.03.gzj. |
AA+ Aa2 USD |
||||||||
| Norwegen NO0010052467 Staatsanleihe |
103,65% 29.07.10 14:22 |
6,00% 1,27% 1.000 |
16.05.11 16.05.gzj. |
AAA Aaa NOK |
||||||||
| Rabobank Nederlande XS0512076885 Bank |
100,55% 29.07.10 09:33 |
3,00% 2,80% 10.000 |
15.08.13 15.08.gzj. |
AAA Aaa NOK |
||||||||
| KFW XS0517812441 Bank |
101,20% 29.07.10 09:33 |
2,25% 1,81% 1.000 |
24.06.13 24.06.gzj. |
AAA Aaa CAD |
||||||||
| Rabobank Nederlande XS0473587441 Bank |
101,30% 29.07.10 14:22 |
3,00% 2,68% 1.000 |
22.01.15 22.01.gzj. |
AAA Aaa CAD |
||||||||
| Rabobank Nederland XS0516355749 Bank |
100,65% 29.07.10 14:22 |
3,25% 3,07% 10.000 |
16.06.14 16.06.gzj. |
AAA Aaa NOK |
||||||||
| National Australia Bank XS0518216964 Bank |
100,70% 29.07.10 14:22 |
5,75% 5,48% 2.000 |
24.06.13 24.6.gzj. |
AAA Aa1 AUD |
||||||||
| KFW XS0222802877 Bank |
101,05% 29.07.10 14:22 |
7,50% 7,23% 1.000 |
22.06.15 22.06.gzj. |
AAA Aaa ZAR |
||||||||
| Bank Nederlandse Gemeenten XS0528596462 Bank |
100,00% 29.07.10 09:33 |
2,25% 2,25% 10.000 |
28.07.14 28.07.gzj. |
AAA Aaa SEK |
||||||||
| Floating Rate Notes | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| GE Capital Euro Funding XS0385688253 Finanzdienstleistungen |
100,95% 29.07.10 09:29 |
1,41% n.v. 1.000 |
06.09.11 06.viertelj. |
AA+ Aa2 EUR |
||||||||
| GE Capital Euro Funding XS0197508764 Finanzdienstleistungen |
98,50% 29.07.10 09:29 |
1,09% n.v. 1.000 |
28.07.14 28.04. JAJO |
AA+ Aa2 EUR |
||||||||
| Sonderofferte | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| WestLB AG IHS DE000WLB6GV6 Bank |
106,25% 29.07.10 13:40 |
4,88% 1,46% 100.000 |
18.06.12 18.06.gzj. |
BBB+ A3 EUR |
||||||||
| Erste Abwicklungsanstalt ( vormals WestLB AG ) DE000WLB2X38 Bank |
102,60% 29.07.10 14:31 |
3,75% 0,40% 1.000 |
17.06.11 17.06.gzj. |
AA- Aa1 EUR |
||||||||
| WestLB AG IHS DE000WLB85J6 Bank |
102,95% 29.07.10 13:35 |
5,38% 0,26% 1.000 |
02.03.11 02.03.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB6D04 Bank |
105,90% 29.07.10 13:40 |
4,25% 3,22% 100.000 |
03.01.17 03.01.gzj |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB88X1 Bank |
101,60% 29.07.10 13:34 |
3,38% 0,06% 1.000 |
26.01.11 26.01.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB8878 Bank |
103,80% 29.07.10 13:37 |
3,88% 1,31% 1.000 |
06.02.12 06.02.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB9CK2 Bank |
103,35% 29.07.10 13:38 |
3,38% 1,49% 1.000 |
29.05.12 29.05.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB8761 Bank |
102,90% 29.07.10 13:36 |
3,98% 0,83% 1.000 |
08.07.11 08.07. gzj. |
BBB+ A3 EUR |
||||||||
| Unternehmensanleihen | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| RWE Fin. BV XS0412842428 Elektrizität |
111,65% 29.07.10 14:23 |
5,00% 2,26% 1.000 |
10.02.15 10.02.gzj |
A A2 EUR |
||||||||
| ThyssenKrupp AG XS0188733207 Stahl |
102,75% 29.07.10 09:22 |
5,00% 0,75% 1.000 |
29.03.11 29.03.gzj. |
BB+ Baa3 EUR |
||||||||
| ThyssenKrupp AG DE000A0Z12Y2 Stahl |
114,30% 29.07.10 14:23 |
8,00% 3,94% 1.000 |
18.06.14 18.06.gzj. |
BB+ Baa3 EUR |
||||||||
| Dt. Lufthansa AG XS0438813536 Verkehr |
112,65% 29.07.10 14:23 |
6,50% 4,05% 1.000 |
07.07.16 07.07.gzj |
BBB- Ba1 EUR |
||||||||
| GE Capital Euro Funding XS0212080195 Finanzdienstleistungen |
103,20% 29.07.10 09:22 |
3,38% 1,23% 1.000 |
08.02.12 08.02.gzj. |
AA+ Aa2 EUR |
||||||||
| GE Capital Euro Funding XS0441800579 Finanzdienstleister |
107,80% 29.07.10 09:22 |
4,75% 2,66% 1.000 |
30.07.14 30.07.gzj |
AA+ Aa2 EUR |
||||||||
| Daimler Finance XS0202043039 Automobil |
103,45% 29.07.10 14:23 |
4,25% 1,26% 1.000 |
04.10.11 04.10.gzj |
BBB+ A3 EUR |
||||||||
| Renault FR0010809236 Automobil |
107,10% 29.07.10 14:23 |
6,00% 4,12% 1.000 |
13.10.14 13.10.gzj. |
BB Ba1 EUR |
||||||||
| VW Int. Fin. XS0470518605 Automobil |
104,55% 29.07.10 14:23 |
3,50% 2,42% 1.000 |
02.02.15 02.02.gzj. |
A- A3 EUR |
||||||||
| BMW Finance NV XS0451689565 Automobil |
106,45% 29.07.10 14:23 |
n.v. 2,34% 1.000 |
17.09.14 17.09. gzj |
A- A3 EUR |
||||||||
| BMW Fin. NV XS0478929457 Automobil |
103,10% 29.07.10 14:23 |
2,88% 1,69% 1.000 |
18.04.13 18.04.gzj. |
A- A3 EUR |
||||||||
| BMW Fin. NV XS0478931354 Automobil |
104,70% 29.07.10 14:23 |
3,88% 3,06% 1.000 |
18.01.17 18.01.gzj. |
A- A3 EUR |
||||||||
| Daimler AG DE000A1C9VQ4 Automobil |
106,45% 29.07.10 14:23 |
4,13% 3,01% 1.000 |
19.01.17 19.01.gzj |
BBB+ A3 EUR |
||||||||
| Solarworld AG XS0478864225 Elektr. Bauelemente-Halbleiter |
100,75% 29.07.10 14:23 |
6,13% 5,97% 1.000 |
21.01.17 21.01.gzj. |
kein Rating kein Rating EUR |
||||||||
| Renault Cred.Int.(RCI) XS0451096076 Finanzdienstleistung |
102,65% 29.07.10 14:23 |
4,00% 1,77% 1.000 |
21.10.11 21.10.gzj. |
BBB- Baa2 EUR |
||||||||
| Franz Haniel & Cie GmbH XS0482703286 Mischkonzern |
104,35% 29.07.10 14:23 |
5,88% 5,07% 1.000 |
01.02.17 01.02.gzj. |
BBB- Ba1 EUR |
||||||||
| VW Finance XS0482656005 Automobil |
104,50% 29.07.10 14:23 |
3,38% 2,18% 1.000 |
28.07.14 28.07.gzj |
A- A3 EUR |
||||||||
| GE Capital Euro Funding XS0491042353 Finanzdienstleister |
105,00% 29.07.10 14:23 |
4,25% 3,39% 1.000 |
01.03.17 01.03.gzj |
AA+ Aa2 EUR |
||||||||
| Rhoen-Klinikum AG XS0491047154 Gesundheitswesen |
104,10% 29.07.10 14:23 |
3,88% 3,07% 1.000 |
11.03.16 11.03.gzj. |
kein Rating Baa2 EUR |
||||||||
| Deutsche Telekom Finance XS0494953820 Telekommunikation |
103,20% 29.07.10 14:23 |
4,25% 3,84% 1.000 |
16.03.20 16.03.gzj |
BBB+ Baa1 EUR |
||||||||
| SAP AG XS0500128326 Software |
101,05% 29.07.10 14:23 |
3,50% 3,32% 1.000 |
10.04.17 10.04.gzj. |
kein Rating kein Rating EUR |
||||||||
| SAP AG XS0500128755 Software |
101,70% 29.07.10 14:23 |
2,50% 2,01% 1.000 |
10.04.14 10.04.gzj. |
kein Rating kein Rating EUR |
||||||||
| Renault Cred.Int. (RCI) XS0502067423 Finanzdienstleistung |
100,70% 29.07.10 09:22 |
2,88% 2,50% 1.000 |
23.07.12 23.07.gzj. |
BBB- Baa2 EUR |
||||||||
| Stada Arzneimittel AG XS0503278847 Arzneimittel |
103,15% 29.07.10 14:23 |
4,00% 3,27% 1.000 |
21.04.15 21.04.gzj. |
kein Rating kein Rating EUR |
||||||||
| Evonik Degussa GmbH XS0181557454 Chemie |
105,50% 29.07.10 09:22 |
5,13% 3,36% 1.000 |
10.12.13 10.12.gzj. |
BB kein Rating EUR |
||||||||
| Fresenius Vin XS0240919372 Medizintechnik |
105,00% 29.07.10 09:22 |
5,50% 4,51% 1.000 |
31.01.16 31.01./31.07.halbj. |
BB Ba1 EUR |
||||||||
| Volkswagen Fin.Serv. AG XS0142019479 Finanzdienstleistungen |
105,70% 29.07.10 14:23 |
5,38% 1,45% 1.000 |
25.01.12 25.01.gzj. |
A- A3 EUR |
||||||||
| RCI Banque XS0519459134 Automobil |
102,90% 29.07.10 14:23 |
n.v. 2,95% 1.000 |
11.07.13 11.07.gzj |
BBB- Baa2 EUR |
||||||||
| Volkswagen Bank GmbH XS0520522201 Bank |
101,70% 29.07.10 09:22 |
2,38% 1,77% 1.000 |
28.06.13 28.06.gzj. |
A- A2 EUR |
||||||||
| Heidelbergcement AG XS0458230322 Bauindustrie |
102,85% 29.07.10 14:23 |
n.v. 7,57% 1.000 |
31.01.17 31.01.gzj. |
BB- B1 EUR |
||||||||
| Renault FR0010916734 Automobil |
104,75% 29.07.10 14:23 |
5,63% 4,52% 1.000 |
30.06.15 30.06.gzj. |
BB Ba1 EUR |
||||||||
| Heidelbergcement Finance XS0520759803 Finanzdienstleistungen |
101,85% 29.07.10 14:23 |
6,75% 6,39% 1.000 |
15.12.15 15.12.J/D |
BB- B1 EUR |
||||||||
| Celesio Finance BV XS0503554627 Finanzdienstleistungen |
99,00% 29.07.10 14:23 |
4,50% 4,67% 1.000 |
26.04.17 26.04.gzj. |
kein Rating kein Rating EUR |
||||||||
| RCI Banque SA XS0494501926 Bank |
101,55% 29.07.10 14:23 |
3,38% 2,71% 1.000 |
23.01.13 23.01.gzj. |
BBB- Baa2 EUR |
||||||||
| VW Fin.Serv.NV XS0473570553 Automobil |
101,65% 29.07.10 09:22 |
2,75% 2,03% 50.000 |
14.12.12 14.12.gzj. |
A- A3 EUR |
||||||||
| Banque PSA Finance XS0478488066 Finanzdienstleister |
102,35% 29.07.10 14:23 |
3,88% 2,87% 50.000 |
18.01.13 18.01.gzj. |
BBB Baa1 EUR |
||||||||
| Hella KGaA Hueck & Co XS0454794123 Automobil |
106,55% 29.07.10 14:23 |
7,25% 5,46% 1.000 |
20.10.14 20.10.gzj |
kein Rating Ba1 EUR |
||||||||
| Normalverzinsliche Anleihen | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| Eurohypo AG Hypfe DE000EH0EB88 Bank |
103,10% 29.07.10 08:28 |
3,00% 0,85% 1.000 |
18.01.12 18.01.gzj |
AAA Aaa EUR |
||||||||
| WestLB AG IHS DE000WLB26G6 Bank |
103,55% 29.07.10 13:06 |
3,50% 1,75% 1.000 |
03.09.12 03.09.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB27H2 Bank |
104,55% 29.07.10 13:11 |
4,00% 2,96% 1.000 |
05.05.15 05.05.gzj |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB27J8 Bank |
103,85% 29.07.10 13:09 |
3,60% 2,62% 1.000 |
30.10.14 30.10.gzj. |
BBB+ A3 EUR |
||||||||
| NRW.Bank DE000NWB12H0 Bank |
103,30% 29.07.10 08:28 |
2,50% 1,48% 1.000 |
12.12.13 12.12.gzj |
AA- Aa1 EUR |
||||||||
| WestLB AG IHS DE000WLB87D5 Bank |
108,75% 29.07.10 13:12 |
4,75% 3,38% 1.000 |
08.12.17 08.12.gzj |
kein Rating A3 EUR |
||||||||
| Deutsche Hyp Hannover DE000DHY2428 Bank |
102,10% 29.07.10 08:28 |
2,50% 2,01% 1.000 |
11.02.15 11.02.gzj |
kein Rating Aaa EUR |
||||||||
| Rabobank Nederland XS0487438979 Bank |
102,95% 29.07.10 08:28 |
3,00% 2,31% 1.000 |
16.02.15 16.02.gzj. |
AAA Aaa EUR |
||||||||
| Rabobank Nederland XS0478074924 Bank |
103,50% 29.07.10 08:28 |
4,13% 3,68% 1.000 |
14.01.20 14.01.gzj. |
AAA Aaa EUR |
||||||||
| WestLB AG IHS DE000WLB2889 Bank |
102,45% 29.07.10 13:07 |
3,00% 2,20% 1.000 |
11.10.13 11.10.gzj |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB29M8 Bank |
101,00% 29.07.10 13:04 |
2,00% 1,35% 1.000 |
05.03.12 05.03.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB29R7 Bank |
102,65% 29.07.10 13:10 |
3,38% 2,75% 1.000 |
12.03.15 12.03.gzj. |
BBB+ A3 EUR |
||||||||
| Commerzbank AG IHS DE000CZ226Y9 Bank |
101,70% 29.07.10 08:28 |
3,88% 3,58% 1.000 |
22.03.17 22.03.gzj |
A Aa3 EUR |
||||||||
| Rabobank XS0503734872 Bank |
101,25% 29.07.10 08:28 |
3,38% 3,16% 1.000 |
21.04.17 21.04. gzj. |
AAA Aaa EUR |
||||||||
| WestLB AG IHS DE000WLB2905 Bank |
102,30% 29.07.10 13:09 |
3,25% 2,69% 1.000 |
22.12.14 22.12.gzj. |
BBB+ A3 EUR |
||||||||
| Commerzbank AG IHS DE000CZ29UU3 Bank |
107,35% 29.07.10 08:28 |
4,75% 2,97% 1.000 |
26.01.15 26.01.gzj |
A Aa3 EUR |
||||||||
| WestLB AG IHS DE000WLB4018 Bank |
100,60% 29.07.10 13:03 |
1,61% 1,13% 1.000 |
15.11.11 15.11.gzj. |
BBB+ A3 EUR |
||||||||
| Deutsche Hyp Hannover DE000DHY2501 Bank |
101,20% 29.07.10 08:28 |
2,13% 1,79% 1.000 |
05.05.14 05.05.gzj |
kein Rating Aaa EUR |
||||||||
| UBS AG London XS0526073290 Bank |
101,85% 29.07.10 08:28 |
3,50% 3,09% 1.000 |
15.07.15 15.07.gzj. |
A+ Aa3 EUR |
||||||||
| Westlb AG IHS DE000WLB41G5 Bank |
100,45% 29.07.10 13:07 |
1,95% 1,76% 1.000 |
17.12.12 17.12.gzj. |
BBB+ A3 EUR |
||||||||
| WestLB AG IHS DE000WLB41H Bank |
100,45% 29.07.10 13:08 |
2,50% n.v. 1.000 |
28.01.14 28.01. gzj. |
BBB+ A3 EUR |
||||||||
| Staatsanleihen | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| TUERKEI XS0223369322 Staatsanleihe |
104,75% 29.07.10 14:25 |
4,75% 2,20% 1.000 |
06.07.12 06.07.A |
BB- Ba2 EUR |
||||||||
| TUERKEI XS0212694920 Staatsanleihe |
106,75% 29.07.10 14:25 |
5,50% 4,29% 2.000 |
16.02.17 16.02.gzj |
BB- Ba2 EUR |
||||||||
| Republik Ungarn XS0183747905 Staatsanleihe |
98,00% 29.07.10 14:25 |
4,50% 5,12% 1.000 |
29.01.14 29.01.gzj. |
BBB- Baa1 EUR |
||||||||
| Mexico XS0525982657 Staatsanleihe |
100,40% 29.07.10 14:25 |
4,25% 4,18% 1.000 |
14.07.17 14.07.gzj. |
BBB Baa1 EUR |
||||||||
| Republik Slowakei XS0192595873 Staatsanleihe |
107,50% 29.07.10 14:25 |
4,50% 2,41% 1.000 |
20.05.14 20.05.gzj. |
A+ A1 EUR |
||||||||
| Zero Bonds | ||||||||||||
| NAME ISIN SEGMENT |
KURS DATUM UHRZEIT |
KUPON RENDITE ALLOKATION |
FÄLLIGKEIT ZINSTERMIN |
S&P MOODY'S WÄHRUNG |
||||||||
| WestLB AG IHS DE000WLB26S1 Bank |
92,70% 29.07.10 14:32 |
n.v. 2,27% 1.000 |
20.12.13 00.00.0 |
BBB+ A3 EUR |
||||||||

