Bond screener
Filter and compare active corporate bonds listed on GPW, including selected ASO series.
Loading results…
Loading results…
Filter and compare active corporate bonds listed on GPW, including selected ASO series.
Loading results…
Filter and compare active corporate bonds listed on GPW, including selected ASO series.
86 results
| PLATAL000269 | ATAL | corporate | floating | 5.83%WIBOR 6M + base margin 1.9 pp | Jun 19, 2028 | GPW ASO |
| PLBEST000358 | BEST | corporate | floating | 8.30%WIBOR 3M + 4.5 pp | Mar 14, 2027 | GPW RR |
| PLBEST000424 | BEST | corporate | floating | 8.03%WIBOR 3M + 4.2 pp | Aug 22, 2029 | GPW RR |
| PLBEST000333 | BEST | corporate | floating | 7.83%WIBOR 3M + 4 pp | Mar 7, 2027 | GPW RR |
| PLBEST000473 | BEST | corporate | floating | 7.04%WIBOR 3M + 3.2 pp | Mar 24, 2031 | GPW RR |
| PLBEST000440 | BEST | corporate | floating | 7.63%WIBOR 3M + 3.8 pp | Jun 5, 2030 | GPW RR |
| PLBEST000416 | BEST | corporate | floating | 8.32%WIBOR 3M + 4.5 pp | Aug 7, 2029 | GPW RR |
| PLBEST000481 | BEST | corporate | floating | 6.93%WIBOR 3M + 3.1 pp | Aug 28, 2031 | GPW RR |
| PLBEST000457 | BEST | corporate | floating | 7.40%WIBOR 3M + 3.6 pp | Sep 13, 2030 | GPW RR |
| PLBEST000432 | BEST | corporate | floating | 7.61%WIBOR 3M + 3.8 pp | Oct 30, 2029 | GPW RR |
| PLBEST000499 | BEST | corporate | floating | 6.82%WIBOR 3M + 3 pp | Nov 21, 2031 | GPW RR |
| PLBEST000341 | BEST | corporate | floating | 8.34%WIBOR 3M + 4.5 pp | Dec 20, 2026 | GPW RR |
| PLCVTNH00131 | CAVATINA HOLDING | corporate | floating | 8.69%EURIBOR 6M + 6 pp | Jan 26, 2027 | GPW RR |
| PLCVTNH00149 | CAVATINA HOLDING | corporate | floating | 9.88%WIBOR 6M + 6 pp | Mar 26, 2027 | GPW RR |
| PLCVTNH00214 | CAVATINA HOLDING | corporate | floating | 9.85%WIBOR 6M + 6 pp | Mar 6, 2029 | GPW RR |
| PLCVTNH00263 | CAVATINA HOLDING | corporate | floating | 9.09%WIBOR 6M + base margin 5.2 pp | May 5, 2030 | GPW RR |
| PLCVTNH00156 | CAVATINA HOLDING | corporate | floating | 9.92%WIBOR 6M + 6 pp | Jun 22, 2027 | GPW RR |
| PLCVTNH00230 | CAVATINA HOLDING | corporate | floating | 9.88%WIBOR 6M + 6 pp | Jul 8, 2029 | GPW RR |
| PLCVTNH00271 | CAVATINA HOLDING | corporate | floating | 7.71%EURIBOR 6M + base margin 5 pp | Jul 31, 2030 | GPW RR |
| PLCVTNH00198 | CAVATINA HOLDING | corporate | floating | 9.86%WIBOR 6M + 6 pp | Sep 12, 2028 | GPW RR |
| PLCVTNH00248 | CAVATINA HOLDING | corporate | floating | 8.80%EURIBOR 6M + 6 pp | Sep 11, 2029 | GPW RR |
| PLCVTNH00206 | CAVATINA HOLDING | corporate | floating | 9.90%WIBOR 6M + 6 pp | Nov 18, 2028 | GPW RR |
| PLCVTNH00180 | CAVATINA HOLDING | corporate | floating | 9.93%WIBOR 6M + 6 pp | Dec 19, 2027 | GPW RR |
| PLCVTNH00255 | CAVATINA HOLDING | corporate | floating | 9.63%WIBOR 6M + base margin 5.7 pp | Dec 18, 2029 | GPW RR |
| PLECHPS00399 | ECHO INVESTMENT | corporate | floating | 7.85%WIBOR 6M + 4 pp | Jan 31, 2028 | GPW RR |
| PLECHPS00415 | ECHO INVESTMENT | corporate | floating | 7.69%WIBOR 6M + 3.8 pp | Apr 26, 2028 | GPW RR |
| PLECHPS00373 | ECHO INVESTMENT | corporate | floating | 7.92%WIBOR 6M + 4 pp | Jun 28, 2027 | GPW RR |
| PLECHPS00381 | ECHO INVESTMENT | corporate | floating | 7.89%WIBOR 6M + 4 pp | Nov 15, 2027 | GPW RR |
| PLGHLMC00602 | GHELAMCO INVEST | corporate | floating | 8.87%WIBOR 6M + 5 pp | Jan 15, 2028 | GPW RR |
| PLGHLMC00586 | GHELAMCO INVEST | corporate | floating | 8.88%WIBOR 6M + 5 pp | Oct 23, 2027 | GPW RR |
| PLINDOS00092 | INDOS | corporate | floating | 8.07%WIBOR 3M + 4.25 pp | May 19, 2029 | GPW ASO |
| PLKRK0000754 | KRUK | corporate | floating | 7.83%WIBOR 3M + 4 pp | Feb 20, 2028 | GPW RR |
| PLKRK0000705 | KRUK | corporate | floating | 7.13%WIBOR 3M + 3.3 pp | Jun 2, 2027 | GPW RR |
| PLKRK0000879 | KRUK | corporate | floating | 6.81%WIBOR 3M + 3 pp | Oct 21, 2029 | GPW RR |
| PLKRK0000846 | KRUK | corporate | floating | 7.83%WIBOR 3M + 4 pp | Feb 23, 2029 | GPW RR |
| PLKRK0000697 | KRUK | corporate | floating | 7.12%WIBOR 3M + 3.3 pp | Feb 8, 2027 | GPW RR |
| PLKRK0000820 | KRUK | corporate | floating | 6.44%EURIBOR 3M + 4 pp | Feb 1, 2029 | GPW RR |
| PLKRK0000895 | KRUK | corporate | floating | 6.62%WIBOR 3M + 2.8 pp | Feb 5, 2031 | GPW RR |
| PLKRK0000762 | KRUK | corporate | floating | 7.84%WIBOR 3M + 4 pp | Jun 13, 2028 | GPW RR |
| PLKRK0000903 | KRUK | corporate | floating | 6.54%WIBOR 3M + 2.7 pp | Jul 7, 2031 | GPW RR |
| PLKRK0000713 | KRUK | corporate | floating | 7.13%WIBOR 3M + 3.3 pp | Aug 12, 2027 | GPW RR |
| PLKRK0000770 | KRUK | corporate | floating | 7.82%WIBOR 3M + 4 pp | Aug 8, 2028 | GPW RR |
| PLKRK0000788 | KRUK | corporate | floating | 7.85%WIBOR 3M + 4 pp | Oct 3, 2028 | GPW RR |
| PLKRK0000739 | KRUK | corporate | floating | 7.83%WIBOR 3M + 4 pp | Nov 28, 2027 | GPW RR |
| PLKRK0000887 | KRUK | corporate | floating | 6.83%WIBOR 3M + 3 pp | Nov 20, 2030 | GPW RR |
| PLKRK0000689 | KRUK | corporate | floating | 7.23%WIBOR 3M + 3.4 pp | Dec 16, 2026 | GPW RR |
| PLKRK0000804 | KRUK | corporate | floating | 6.67%EURIBOR 3M + 4 pp | Dec 11, 2028 | GPW RR |
| PLMRVDV00128 | MARVIPOL DEVELOPMENT | corporate | floating | 7.14%WIBOR 6M + base margin 3.3 pp | Jan 28, 2030 | GPW RR |
| PLMRVDV00086 | MARVIPOL DEVELOPMENT | corporate | floating | 8.38%WIBOR 6M + base margin 4.5 pp | May 7, 2028 | GPW RR |
| PLMRVDV00110 | MARVIPOL DEVELOPMENT | corporate | floating | 7.58%WIBOR 6M + base margin 3.7 pp | Oct 27, 2029 | GPW RR |
| PLMRVDV00094 | MARVIPOL DEVELOPMENT | corporate | floating | 7.67%WIBOR 6M + base margin 3.75 pp | Dec 20, 2028 | GPW RR |
| XS2647371843 | ORLEN | corporate | fixed | 4.75% | Jul 13, 2030 | GPW RR |
| XS3104553931 | ORLEN | corporate | fixed | 3.62% | Jul 2, 2032 | GPW RR |
| XS3430816002 | ORLEN | corporate | fixed | 0.00% | — | GPW RR |
| PLPCCRK00274 | PCC ROKITA | corporate | fixed | 5.50% | May 12, 2027 | GPW RR |
| PLPCCRK00266 | PCC ROKITA | corporate | fixed | 5.50% | Oct 22, 2026 | GPW RR |
| PLPCCEX00135 | PCC EXOL | corporate | floating | 6.52%WIBOR 3M + 2.7 pp | Sep 11, 2029 | GPW RR |
| PLPCCEX00143 | PCC EXOL | corporate | floating | 6.04%WIBOR 3M + 2.2 pp | Sep 18, 2030 | GPW RR |
| XS3087255611 | PEKAO | corporate | fixed | 3.75% | Jun 4, 2031 | GPW RR |
| XS3238272572 | PEKAO | corporate | fixed | 4.01% | Feb 27, 2036 | GPW RR |
| XS3394773538 | PEKAO | corporate | fixed | 3.62% | Jun 3, 2030 | GPW RR |
| XS3438593926 | PEKAO | corporate | fixed | 4.28% | Jul 13, 2037 | GPW RR |
| XS2906339747 | PEKAO | corporate | fixed | 4.00% | Sep 24, 2030 | GPW RR |
| XS3185322909 | PEKAO | corporate | fixed | 3.50% | Sep 23, 2032 | GPW RR |
| XS2724428193 | PEKAO | corporate | fixed | 5.50% | Nov 23, 2027 | GPW RR |
| XS2788380306 | PKO BP | corporate | fixed | 4.50% | Mar 27, 2028 | GPW RR |
| XS2346125573 | ORLEN | corporate | fixed | 1.13% | May 27, 2028 | GPW RR |
| PLO046700012 | PKO BP | corporate | floating | 5.44%WIBOR 6M + 1.59 pp | Feb 28, 2029 | GPW ASO |
| XS3296830444 | PKO BP | corporate | fixed | 3.75% | May 6, 2030 | GPW RR |
| XS2965663656 | PKO BP | corporate | fixed | 3.38% | Jun 16, 2028 | GPW RR |
| XS2842080488 | PKO BP | corporate | fixed | 4.50% | Jun 18, 2029 | GPW RR |
| XS3105979457 | PKO BP | corporate | fixed | 3.62% | Jun 30, 2031 | GPW RR |
| XS3404490883 | PKO BP | corporate | fixed | 4.09% | Jun 24, 2036 | GPW RR |
| XS2890435865 | PKO BP | corporate | fixed | 4.04% | Sep 12, 2027 | GPW RR |
| XS3478144820 | PKO BP | corporate | fixed | 4.13% | Sep 1, 2033 | GPW RR |
| XS3227335422 | PKO BP | corporate | fixed | 3.62% | Nov 20, 2032 | GPW RR |
| PLGFPRE00412 | PRAGMAGO | corporate | floating | 6.98%EURIBOR 3M + base margin 4.5 pp | Feb 6, 2028 | GPW RR |
| PLGFPRE00446 | PRAGMAGO | corporate | floating | 7.25%WIBOR 3M + base margin 3.4 pp | Apr 4, 2029 | GPW RR |
| PLGFPRE00388 | PRAGMAGO | corporate | floating | 8.66%WIBOR 3M + base margin 4.8 pp | Jun 26, 2027 | GPW RR |
| PLGFPRE00453 | PRAGMAGO | corporate | floating | 8.06%WIBOR 3M + base margin 4.25 pp | Jun 6, 2028 | GPW RR |
| PLGFPRE00396 | PRAGMAGO | corporate | floating | 8.29%WIBOR 3M + base margin 4.5 pp | Jul 30, 2027 | GPW RR |
| PLGFPRE00487 | PRAGMAGO | corporate | floating | 7.37%WIBOR 3M + base margin 3.55 pp | Jul 13, 2029 | GPW RR |
| PLGFPRE00404 | PRAGMAGO | corporate | floating | 7.33%WIBOR 3M + base margin 3.5 pp | Sep 2, 2027 | GPW RR |
| PLGFPRE00289 | PRAGMAGO | corporate | floating | 7.81%WIBOR 3M + base margin 4 pp | Oct 28, 2026 | GPW RR |
| PLGFPRE00479 | PRAGMAGO | corporate | floating | 7.56%WIBOR 3M + base margin 3.75 pp | Oct 28, 2028 | GPW RR |
| PLGFPRE00420 | PRAGMAGO | corporate | floating | 7.34%WIBOR 3M + base margin 3.5 pp | Dec 18, 2028 | GPW RR |
The current coupon is the rate for the current period according to available data. The benchmark and margin formula comes from issue documents; it does not confirm the current fixing or a conditional margin.