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Belgium: bonos

The negotiable debt consists of all public debt that is either traded on an exchange or another market. It consists mainly of Linear bonds and Treasury Certificates.

Linear Bonds (OLOs) are medium, long term and very long term securities with a fixed or floating interest rate. OLOs are issued by competitive auctions based on the prices offered by the bidders and by non-competitive subscriptions. OLOs can also be issued by syndication, especially when opening a new line.

Treasury Certificates are short-term bills with maturities up to maximum one year. Treasury certificates are issued by competitive auctions based on the rates offered by the bidders and by non-competitive subscriptions.

As of Q1 2013 total amount outstanding is EUR 376.1 billion.

Emisiones en circulación

Moneda Emisiones en circulación Volumen total
Soberano
EUR 140 442 490 727 536
USD 4 5 600 000 000
NOK 4 4 300 000 000
GBP 3 800 000 000
JPY 2 17 000 000 000
CHF 1 100 000 000
Municipal
EUR 65 7 982 000 000
Corporativo
EUR 282 98 514 136 245
USD 18 47 477 163 000
GBP 9 3 830 000 000
NOK 5 1 360 000 000
CHF 3 405 000 000
CAD 3 2 600 000 000
JPY 3 21 000 000 000
NZD 2 100 000 000

Ratings soberanos

AgenciaRating / PronósticoEscala de ratingsFecha
RIA Rating *** Sovereign ratings ***
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Fitch Ratings *** LT Int. Scale (local curr.) ***
Japan Credit Rating Agency *** Foreign Currency Long-term Issuer Rating ***
Japan Credit Rating Agency *** Local Currency Long-term Issuer Rating ***
Registration required. Please log in or fill in the registration form.

Últimas emisiones

emisión ISIN cupón cantidad terminación de colocación fecha de vencimiento
BNP Paribas Fortis, 0.625% 4oct2025, EUR - Bonos locales BE0002614924 0.625% 500 000 000  EUR 27/09/18 04/10/25
BNP Paribas Fortis, 1.455% 15sep2028, EUR - Bonos locales BE6305588061 1.455% 50 000 000  EUR 25/09/18 15/09/28
Belgium French Community, 1.972% 25sep2050, EUR - Bonos locales BE6308190865 1.972% 65 000 000  EUR 25/09/18 25/09/50
Belfius Bank, 0.44% 21sep2022, EUR - Bonos locales BE6308098910 0.44% 10 000 000  EUR 21/09/18 21/09/22
Sumitomo Mitsui Banking Corp. (Brussels Branch), 0% 22oct2018, GBP (31D) - Bonos locales BE6306885425 0% 80 000 000  GBP 21/09/18 22/10/18
ING Belgium, 0.75% 28sep2026, EUR - Bonos locales BE0002613918 0.75% 1 000 000 000  EUR 20/09/18 28/09/26
VGP NV, 3.5% 19mar2026, EUR - Bonos locales BE0002611896 3.5% 190 000 000  EUR 14/09/18 19/03/26
Belfius Bank, 1.294% 13sep2033, EUR - Bonos locales BE0002612902 1.294% 10 000 000  EUR 13/09/18 13/09/33
Belgium, TC 12sep2019 12m - Bonos locales BE0312766380 0% 2 933 000 000  EUR 11/09/18 12/09/19
Belfius Bank, 1.434% 10sep2036, EUR - Bonos locales BE0002610880 1.434% 40 000 000  EUR 10/09/18 10/09/36

World Bond Market Indicators

Índices mensuales

Tipo Sep 2018 Aug 2018 Jul 2018 Jun 2018 May 2018 Apr 2018 Mar 2018
EU Long-term interest rates
Belgium, %   0.77 0.71 0.68 0.79 0.83 0.81 0.87
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World Bond market statistics

Índices mensuales

Tipo Sep 2018 Aug 2018 Jul 2018 Jun 2018 May 2018 Apr 2018 Mar 2018
Domestic govt Bonds markets (Western Europe)
Belgian govt Bonds outst., EUR bln (without Bills) 347.60 345.01 344.98 342.05 350.71 353.10 346.73
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Índices trimestrales

Tipo I 2018 IV 2017 III 2017 II 2017 I 2017 IV 2016 III 2016
BIS volume of international-bond market of developed countries
Belgian international bonds, USD bln 175.300 170.000 167.800 161.700 150.800 151.300 159.400
BIS net issues of international-bond market of developed countries
International-bond net issue of Belgium, USD bln 0.900 -0.100 1.000 1.800 2.400 0.300 3.600

New issues of Developed markets International Bonds

Índices mensuales

Tipo Sep 2018 Aug 2018 Jul 2018 Jun 2018 May 2018 Apr 2018 Apr 2018
Developed Market International Bonds (excl. USA)
New issues of international bonds (Denmark), USD bln 0.580 0.830 0.000 6.792 2.290 0.632 0.632
Number of new international bond issues (Denmark) 1 4 0 11 6 3 2
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Developed Markets International Bonds

Índices mensuales

Tipo Sep 2018 Aug 2018 Jul 2018 Jun 2018 May 2018 Apr 2018 Mar 2018
International bonds Developed Markets
Belgium sovereign international bonds, USD bln 51.740 51.701 52.125 51.994 53.093 54.781 61.825
Belgium corporate international bonds, USD bln 8.198 8.955 8.940 8.967 8.976 9.542 12.316
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Money market

Índices semanales

Tipo: 18/10/18 17/10/18 16/10/18 15/10/18 12/10/18 11/10/18 10/10/18
IRS EUR (Annual Fixed vs 6M EURIBOR) 
IRS EUR 9M vs 6M EURIBOR mid * * * * * * *
IRS EUR 1Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 2Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 3Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 4Y vs 6M EURIBOR mid * * * * * * *
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IRS EUR 6Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 7Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 8Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 9Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 10Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 12Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 15Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 20Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 25Y vs 6M EURIBOR mid * * * * * * *
IRS EUR 30Y vs 6M EURIBOR mid * * * * * * *
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Credit Risk Indicators

Índices semanales

Tipo: 16/02/17 15/02/17 14/02/17 13/02/17 10/02/17 09/02/17 08/02/17
CDS Developed markets (sov.) 
CDS 5Y Belgium mid * * * * * * *
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Macroeconomic Indicators (World economy)

Índices mensuales

Tipo Sep 2018 Aug 2018 Jul 2018 Jun 2018 May 2018 Apr 2018 Mar 2018
Inflation Rate (World), % to the same period of the previous year
Inflation Rate (Belgium) 2.35 2.24 2.17 2.08 1.82 1.52 1.39
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Indicadores anuales

Tipo 2017 2016 2015 2014
Government Debt to GDP (World), %
Government Debt to GDP(Belgium) 103.10 105.90 106.00 106.00

Cotizaciones

título volumen de emisión fecha de vencimiento cotizaciones de compra cotizaciones de venta
fecha compra rentabilidad fecha venta rentabilidad
Belgium, 1.5% 22jun2018, USD   USD 22/06/18 18/05/16 ***.*** *.** 18/05/16 ***.** *.**
European Union, 0.25% 4jul2020, EUR   EUR 04/07/20 18/05/16 ***.*** -*.** 18/05/16 ***.*** -*.**
European Union, 0.625% 4nov2023, EUR   EUR 04/11/23 18/05/16 ***.** *.* 18/05/16 ***.** *.**
European Union, 1.125% 1dec2028, EUR   EUR 01/12/28 18/05/16 ***.*** *.* 18/05/16 ***.** *.**
European Union, 1.125% 4apr2036, EUR   EUR 04/04/36 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 1.5% 4oct2035, EUR   EUR 04/10/35 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 1.875% 4apr2024, EUR   EUR 04/04/24 18/05/16 ***.** *.** 18/05/16 ***.** *.*
European Union, 2.375% 22sep2017, EUR   EUR 22/09/17 18/05/16 ***.*** -*.** 18/05/16 ***.** -*.**
European Union, 2.375% 4oct2018, EUR   EUR 04/10/18 18/05/16 ***.** -*.** 18/05/16 ***.*** -*.**
European Union, 2.5% 4nov2027, EUR   EUR 04/11/27 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 2.75% 21sep2021, EUR   EUR 21/09/21 18/05/16 ***.** -*.** 18/05/16 ***.** -*.**
European Union, 2.75% 3jun2016, EUR   EUR 03/06/16 18/05/16 ***.** * 18/05/16 ***.** -*.**
European Union, 2.75% 4apr2022, EUR   EUR 04/04/22 18/05/16 ***.** -*.** 18/05/16 ***.** -*.*
European Union, 2.875% 4apr2028, EUR   EUR 04/04/28 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 3% 4sep2026, EUR   EUR 04/09/26 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 3.25% 4apr2018, EUR   EUR 04/04/18 18/05/16 ***.*** -*.** 18/05/16 ***.** -*.**
European Union, 3.375% 10may2019, EUR   EUR 10/05/19 18/05/16 ***.** -*.** 18/05/16 ***.** -*.**
European Union, 3.375% 4apr2032, EUR   EUR 04/04/32 18/05/16 ***.** *.** 18/05/16 ***.** *.**
European Union, 3.375% 4apr2038, EUR   EUR 04/04/38 18/05/16 ***.** *.** 18/05/16 ***.*** *.*
European Union, 3.5% 4jun2021, EUR   EUR 04/06/21 18/05/16 ***.** -*.** 18/05/16 ***.* -*.**
European Union, 3.75% 4apr2042, EUR   EUR 04/04/42 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Anheuser-Busch InBev, 1.125% 27jan2017, USD   USD 27/01/17 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Anheuser-Busch InBev, 2.15% 1feb2019, USD   USD 01/02/19 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Anheuser-Busch InBev, 3.7% 1feb2024, USD   USD 01/02/24 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Anheuser-Busch InBev, 4.625% 1feb2044, USD   USD 01/02/44 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Balta Group, 7.75% 2022, EUR   EUR 15/09/22 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Belfius Bank, 2.7% 5sep2016, EUR   EUR 05/09/16 18/05/16 ***.*** *.** 18/05/16 ***.*** -*.**
Belfius Bank, 7.25% 15dec2016, AUD   AUD 15/12/16 18/05/16 ***.** *.** 18/05/16 *** *.**
BNP Paribas Fortis, 4.5% 26feb2017, EUR   EUR 26/02/17 18/05/16 ***.*** *.** 18/05/16 ***.**** *.**
BNP Paribas Fortis, 4.625% 29aug2016, EUR   EUR 29/08/16 18/05/16 ***.** *.** 18/05/16 ***.**** *.**
Delhaize Group, 4.125% 10apr2019, USD   USD 10/04/19 18/05/16 ***.*** *.** 18/05/16 ***.*** *.**
Delhaize Group, 5.7% 1oct2040, USD   USD 01/10/40 18/05/16 * 18/05/16 ***.*** *.**
Delhaize Group, 6.5% 15jun2017, USD   USD 15/06/17 18/05/16 ***.*** *.** 18/05/16 ***.** *.**
Dufry Finance SCA, 5.5% 15oct2020, USD   USD 15/10/20 18/05/16 *** *.** 18/05/16 ***.** *.**
Ideal Standards International, 11.75% 1may2018, EUR   EUR 01/05/18 18/05/16 ** ***.* 18/05/16 ** ***.**
Ideal Standards International, 11.75% 1may2018, EUR   EUR 01/05/18 18/05/16 ** **.** 18/05/16 ** **.**
KBC Bank, 2.125% 10sep2018, EUR   EUR 10/09/18 18/05/16 ***.*** *.** 18/05/16 ***.*** *
KBC Bank, 3% 29aug2016, EUR   EUR 29/08/16 18/05/16 ***.** *.** 18/05/16 ***.** -*.**
KBC Bank, 4.5% 27mar2017, EUR   EUR 27/03/17 18/05/16 ***.*** * 18/05/16 ***.*** -*.**
KBC Bank, 7% 7feb2025, USD   USD 07/02/25 18/05/16 **.** * 18/05/16 ***.** *
Solvay, 4.199% perp., EUR   EUR 18/05/16 *** * 18/05/16 ***.* *
Solvay, 5.425% perp., EUR   EUR 18/05/16 ***.** * 18/05/16 ***.* *
Solvay, 6.375% 2jun2104, EUR   EUR 02/06/04 18/05/16 ***.* * 18/05/16 ***.** *
Telenet Group Holding, 4.875% 15jul2027, EUR   EUR 15/07/27 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Telenet Group Holding, 6.25% 15aug2022, EUR   EUR 15/08/22 18/05/16 ***.*** *.** 18/05/16 ***.*** *.**
Telenet Group Holding, 6.625% 15feb2021, EUR   EUR 15/02/21 18/05/16 ***.*** *.** 18/05/16 ***.** *.**
Telenet Group Holding, 6.75% 15aug2024, EUR   EUR 15/08/24 18/05/16 ***.** *.** 18/05/16 ***.** *.**
Telenet Group Holding, FRN 15jun2021, EUR   EUR 15/06/21 18/05/16 ***.** * 18/05/16 ***.** *
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bones: locales e internacionales
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bones: locales e internacionales
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países
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