LBBadenWurt 5 3% 13 02 2034
Tier 2DE000LB127U4
IssuerLBBW
Issuer LEIB81CK4ESI35472RHJ606
SeniorityTier 2
Classification basisFIRDS debt seniority field
Total issued nominalAUD 100m
CurrencyAUD
Coupon5.3%
Interest typeFixed rate
Maturity date2034-02-13 · 7.5y
First trade date2019-02-13
Nominal per unitAUD 200,000
CFIDTFUFB
Reference venue (MIC)XLUX
Trading venues2
StatusActive
First seen2026-07-19
Last seen2026-08-04
Similar instruments
All Tier 2 instrumentsActive fixed rate Tier 2 instruments in AUD maturing within two years of this one, across the entity universe.
Peer instruments
12
Peer median coupon
5.947%
Coupon percentile
17th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| AU3CB0319473 | HSBC | HSBC HOLDINGS PLC A$550,000,000 Fixed-to-Floating Rate Subordinated Notes due 11 March 2035 | 5.722% | 2035-03-11 | AUD 550m |
| XS1892382158 | BNP Paribas | BNPParibas 4 875% 12 10 2033 | 4.875% | 2033-10-12 | AUD 275m |
| AU3CB0312858 | Lloyds Banking Group | LLOYDS 5.788 08/29/34 BOND | 5.788% | 2034-08-29 | AUD 250m |
| AU3CB0319184 | Banco Santander | SANTAN 5.800 3/6/35 c30 (URegS) BANCO SANTANDER | 5.8% | 2035-03-06 | AUD 250m |
| AU3CB0312460 | BNP Paribas | BNP 5.830 8/23/34 c29 BNP | 5.83% | 2034-08-23 | AUD 400m |
| AU3CB0317352 | Crédit Agricole | ACAFP 6.064 1/16/35 c30 CREDIT AGRICOLE | 6.064% | 2035-01-16 | AUD 250m |
AU3CB0319473HSBC
XS1892382158BNP Paribas
AU3CB0312858Lloyds Banking Group
AU3CB0319184Banco Santander
AU3CB0312460BNP Paribas
AU3CB0317352Crédit Agricole
Other instruments from LBBW
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000LB1P2W1 | LBBadenWurt 5% 28 02 2033 | T2 | 5% | 2033-02-28 | USD 185m |
| DE000LB1DQB9 | TIER 2 LBBW 31 | T2 | 3.205% | 2031-11-03 | EUR 5m |
| XS0131928391 | LBBadenWurt 6 19% 30 06 2031 | T2 | 6.19% | 2031-06-30 | EUR 7m |
| XS0131731175 | LBBadenWurt FRN 27 06 2031 | T2 | Not disclosed | 2031-06-27 | EUR 35m |
| DE000LB1DP56 | TIER 2 LBBW 36 | T2 | 3.3% | 2036-10-27 | EUR 2m |
| XS0129547948 | LBBadenWurt 6 195% 21 05 2031 | T2 | 6.195% | 2031-05-21 | EUR 20m |
| DE000LB1DRB7 | TIER 2 LBBW Festzins 36 | T2 | 3.75% | 2036-12-19 | EUR 3m |
| DE000LB1DP31 | TIER 2 LBBW 28 | T2 | 2.96% | 2028-10-26 | EUR 22m |
DE000LB1P2W1LBBadenWurt 5% 28 02 2033
DE000LB1DQB9TIER 2 LBBW 31
XS0131928391LBBadenWurt 6 19% 30 06 2031
XS0131731175LBBadenWurt FRN 27 06 2031
DE000LB1DP56TIER 2 LBBW 36
XS0129547948LBBadenWurt 6 195% 21 05 2031
DE000LB1DRB7TIER 2 LBBW Festzins 36
DE000LB1DP31TIER 2 LBBW 28