LBBW Festzins 31
Senior PreferredDE000LB2BKX8
IssuerLBBW
Issuer LEIB81CK4ESI35472RHJ606
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalEUR 24m
CurrencyEUR
Coupon0.53%
Interest typeFixed rate
Maturity date2031-03-03 · 4.6y
First trade date2021-12-01
Nominal per unitEUR 50,000
CFIDBFUFB
Reference venue (MIC)STUB
Trading venues3
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
3,996
Peer median coupon
2.7%
Coupon percentile
17th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000BLB82L3 | BayernLB | BLB Festzins 30 | 0.53% | 2030-09-10 | EUR 50m |
| DE000HLB28F5 | Helaba | Lb.Hessen-Thüringen GZ Carrara 11h/21 IHS 21(31) | 0.53% | 2031-11-04 | EUR 850,000 |
| DE000BLB8071 | BayernLB | BLB Festzins 30 | 0.53% | 2030-04-30 | EUR 50m |
| DE000HLB3431 | Helaba | Lb.Hessen-Thüringen GZ Carrara 07x/19 IHS 19(20/29) | 0.53% | 2029-07-30 | EUR 2m |
| DE000NLB3VK6 | NORD/LB | NDB 0.525 01/19/32 | 0.525% | 2032-01-19 | EUR 10m |
| DE000NLB3VZ4 | NORD/LB | NDB 0.525 02/15/30 | 0.525% | 2030-02-15 | EUR 10m |
DE000BLB82L3BayernLB
DE000HLB28F5Helaba
DE000BLB8071BayernLB
DE000HLB3431Helaba
DE000NLB3VK6NORD/LB
DE000NLB3VZ4NORD/LB
Other instruments from LBBW
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000LB13VQ5 | LBBW Festzins 31 | SP | 0.46% | 2031-03-03 | EUR 24m |
| DE000LB405K5 | LBBW Festzins 31 | SP | 2.9% | 2031-03-04 | EUR 450m |
| DE000LB13V53 | LBBW Festzins 31 | SP | 0.4% | 2031-03-05 | EUR 24m |
| DE000LB13V04 | LBBW 0.1 03/05/31 | SP | 0.1% | 2031-03-05 | EUR 24m |
| DE000LB5Q1G1 | $ LBBW Festzins 31 | SP | 4.51% | 2031-02-28 | USD 25m |
| DE000LB5LJ76 | LBBW Festzins 31 | SP | 2.65% | 2031-02-28 | EUR 300m |
| DE000LB5LJE2 | LBBW Festzins 31 | SP | 2.8% | 2031-02-28 | EUR 300m |
| XS0125912336 | LBBadenWurt 5 7% 28 02 2031 | SP | 5.7% | 2031-02-28 | EUR 35m |
DE000LB13VQ5LBBW Festzins 31
DE000LB405K5LBBW Festzins 31
DE000LB13V53LBBW Festzins 31
DE000LB13V04LBBW 0.1 03/05/31
DE000LB5Q1G1$ LBBW Festzins 31
DE000LB5LJ76LBBW Festzins 31
DE000LB5LJE2LBBW Festzins 31
XS0125912336LBBadenWurt 5 7% 28 02 2031