| Nom | Code | Valeur | Code ISIN |
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| WESSEX W.S.5.75 5.75% GTD BDS 14/10/33 G | 68OP | Obligation | XS0178489844 |
| WESSEX W.S.58 1.489% IDX LKD GTD BDS 29/ | 91UU | Obligation | XS0323207323 |
| WESSEX W.S.58 1.495% IDX LKD GTD BDS 29/ | 38BM | Obligation | XS0317526712 |
| WESSEX W.S.58 1.499% IDX LKD GTD BDS 29/ | 38BN | Obligation | XS0320200032 |
| WESSEX W.S.5SE 5.875% GTD BDS 2009 £(VAR | 34NR | Obligation | XS0095820295 |
| WESSEX WTR023 GTD 3.52% RPI 0FLR BDS 202 | AG35 | Obligation | XS0138444020 |
| WESSWX WTR.BD09 GTD VAR CPN BDS 30/03/09 | BE74 | Obligation | XS0127021243 |
| WEST AFRICAN ORD 1P | WAD | Action | GB00B1CQN147 |
| WEST.BROM 16 FLTG RTE NTS 27/09/16 | 90SE | Obligation | XS0268657193 |
| WEST.BROM 17 6.625% FLTG RTE CALL NTS 06 | 34MI | Obligation | XS0308758936 |
| WEST BROM.5.625 SUB 5.625% BDS 03/03/25 | 31YJ | Obligation | XS0213300600 |
| WEST.BROM 6.125 CALL SUB 6.125%/ FLTG RT | 41WS | Obligation | XS0287427545 |
| WEST.BROM 6.15% 6.15% PERM INT BR SHS GB | WBS | Action | GB00B0CX2M20 |
| WEST.BROM FRN11 FLTG RTE NTS 12/05/11 | 36HH | Obligation | XS0253369846 |
| WEST.BROM FRN12 FLTG RTE NTS 04/10/12 | 53RD | Obligation | XS0270373482 |
| WEST.CANADIAN COM SHS NPV | WTN | Action | CA9578601093 |
| WEST CHINA ORD 10P | WCC | Action | JE00B1G5G525 |
| WESTCITY ORD 1P | WTC | Action | GB00B188SK81 |
| WESTERN PWR 53 1.541% IDX-LKD NTS 01/12/ | 37OQ | Obligation | XS0276994059 |
| WESTERN PWR 56 1.541% IDX-LKD NTS 01/12/ | 37OR | Obligation | XS0276994216 |
| WESTERN SELECTN ORD 40P | WSE | Action | GB00B0B9G855 |
| WESTFIELD3.625% GTD 3.625% NTS 27/06/12 | 32DL | Obligation | XS0222105727 |
| WESTFIELD5.500% GTD 5.500% NTS 27/06/17 | 32DM | Obligation | XS0222107186 |
| WESTLAND 0CPN09 CALL FXD RTE/ZERO CPN NT | BO31 | Obligation | XS0094221883 |
| WESTLAND 0CPN11 ZERO CPN NTS 10/11/11 | 88NE | Obligation | XS0092027498 |