DT.PFBR.BANK MTN.35282
Senior PreferredDE000A2E4Y62
IssuerDeutsche Pfandbriefbank
Issuer LEIDZZ47B9A52ZJ6LT6VV95
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalEUR 30m
CurrencyEUR
Coupon2%
Interest typeFixed rate
Maturity date2032-07-09 · 5.9y
First trade date2017-07-10
Nominal per unitEUR 100,000
CFIDTFUFB
Reference venue (MIC)MUNA
Trading venues1
StatusActive
First seen2026-07-19
Last seen2026-08-04
Similar instruments
All Senior Preferred instrumentsActive fixed rate Senior Preferred instruments in EUR maturing within two years of this one, across the entity universe.
Peer instruments
3,098
Peer median coupon
2.92%
Coupon percentile
30th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000NLB2WD1 | NORD/LB | Norddeutsche Landesbank -GZ- Inh.-Schv. v.2018(2032) | 2% | 2032-07-16 | EUR 10m |
| DE000LB2BSU7 | LBBW | LBBW Festzins 32 | 2% | 2032-06-07 | EUR 24m |
| DE000NLB3XK2 | NORD/LB | Norddeutsche Landesbank -GZ- EO-IHS 22(32) | 2% | 2032-05-17 | EUR 10m |
| XS2436210897 | Société Générale | SOCIT GNRALE FR INTEREST LINKED BOND CALLABLE 2032 S236980EN | 2% | 2032-04-29 | EUR 29m |
| AT000B120720 | Erste Group | EGB Switchable Bond 17-32 | 2% | 2032-03-01 | EUR 2m |
| DK0009554933 | Nykredit | 2NYK13Hja32EURRF | 2% | 2032-01-01 | EUR 0 |
DE000NLB2WD1NORD/LB
DE000LB2BSU7LBBW
DE000NLB3XK2NORD/LB
XS2436210897Société Générale
AT000B120720Erste Group
DK0009554933Nykredit
Other instruments from Deutsche Pfandbriefbank
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000A31RJW9 | DT.PFBR.BANK MTN.35433 | SP | 4.78% | 2032-09-07 | EUR 10m |
| DE000A2E4ZF6 | DT.PFBR.BANK MTN.35286 | SP | 1.85% | 2032-09-20 | EUR 40m |
| DE000A289PP5 | DT.PFBR.BANK MTN.35371 | SP | 0.613% | 2032-09-30 | EUR 15m |
| DE000A30WF76 | DT.PFBR.BANK MTN.35423 | SP | 4.25% | 2033-01-31 | EUR 20m |
| DE000A2GSLE2 | DT.PFBR.BANK MTN.35291VAR | SP | 2.271% | 2033-02-21 | EUR 10m |
| DE000A2AAV39 | DT.PFBR.BANK MTN.35264 | SP | 4.12% | 2031-11-03 | EUR 5m |
| DE000A3E5KQ1 | DT.PFBR.BANK MTN.35401 | SP | 0.71% | 2031-09-10 | EUR 100m |
| DE000A3H2Z98 | DT.PFBR.BANK IS.R.35394 | SP | 0.48% | 2031-05-19 | EUR 10m |
DE000A31RJW9DT.PFBR.BANK MTN.35433
DE000A2E4ZF6DT.PFBR.BANK MTN.35286
DE000A289PP5DT.PFBR.BANK MTN.35371
DE000A30WF76DT.PFBR.BANK MTN.35423
DE000A2GSLE2DT.PFBR.BANK MTN.35291VAR
DE000A2AAV39DT.PFBR.BANK MTN.35264
DE000A3E5KQ1DT.PFBR.BANK MTN.35401
DE000A3H2Z98DT.PFBR.BANK IS.R.35394