BLB Festzins 31
Senior PreferredDE000BYL0H69
IssuerBayernLB
Issuer LEIVDYMYTQGZZ6DU0912C88
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalEUR 50m
CurrencyEUR
Coupon3%
Interest typeFixed rate
Maturity date2031-10-14 · 5.2y
First trade date2026-04-14
Nominal per unitEUR 50,000
CFIDTFUFB
Reference venue (MIC)STUB
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
3,528
Peer median coupon
2.76%
Coupon percentile
66th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| PTCGDFOM0034 | Caixa Geral de Depósitos | CaixGeralDep 3% 07 10 2031 | 3% | 2031-10-07 | EUR 500m |
| DE000NLB46G3 | NORD/LB | Norddeutsche Landesbank -GZ- EO-IHS 24(31) | 3% | 2031-10-22 | EUR 20m |
| XS2910610364 | ABN AMRO | ABN AMRO Bank N.V. EO-Preferred MTN 2024(31) | 3% | 2031-10-01 | EUR 750m |
| DE000NLB50Q4 | NORD/LB | Norddeutsche Landesbank -GZ- EO-IHS 25(31) | 3% | 2031-11-07 | EUR 20m |
| DE000LB5GFV4 | LBBW | LBBW Festzins 31 | 3% | 2031-11-25 | EUR 300m |
| DE000LB5G373 | LBBW | LBBW Festzins 31 | 3% | 2031-11-27 | EUR 24m |
PTCGDFOM0034Caixa Geral de Depósitos
DE000NLB46G3NORD/LB
XS2910610364ABN AMRO
DE000NLB50Q4NORD/LB
DE000LB5GFV4LBBW
DE000LB5G373LBBW
Other instruments from BayernLB
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000BLB9P27 | BAY.LDSBK.IS. 21/31 | SP | 0.65% | 2031-10-13 | EUR 100m |
| DE000BLB9ZE1 | BLGG 3.000 10/10/31 | SP | 3% | 2031-10-10 | EUR 500m |
| DE000BLB9UW4 | BLB Festzins 31 | SP | 3.86% | 2031-10-06 | EUR 20m |
| DE000BYL0KJ4 | BLB Festzins 31 | SP | 3% | 2031-10-27 | EUR 10m |
| DE000BYL0FA3 | BLB Festzins 31 | SP | 2.75% | 2031-10-28 | EUR 50m |
| DE000BLB44H1 | BLB Tilgung 31 | SP | 1.07% | 2031-09-30 | EUR 4m |
| DE000BLB74T3 | BLB Stufenzins 31 | SP | 0.35% | 2031-10-31 | EUR 50m |
| DE000BLB9UT0 | BAY.LDSBK. MTI VAR 23/31 | SP | 3.567% | 2031-09-26 | EUR 200m |
DE000BLB9P27BAY.LDSBK.IS. 21/31
DE000BLB9ZE1BLGG 3.000 10/10/31
DE000BLB9UW4BLB Festzins 31
DE000BYL0KJ4BLB Festzins 31
DE000BYL0FA3BLB Festzins 31
DE000BLB44H1BLB Tilgung 31
DE000BLB74T3BLB Stufenzins 31
DE000BLB9UT0BAY.LDSBK. MTI VAR 23/31