BNPP1.875%14DEC27
Tier 2FR0013476330
IssuerBNP Paribas
Issuer LEIR0MUWSFPU8MPRO8K5P83
SeniorityTier 2
Classification basisFIRDS debt seniority field
Total issued nominalGBP 850m
CurrencyGBP
Coupon1.875%
Interest typeFixed rate
Maturity date2027-12-14 · 1.3y
First trade date2020-01-09
Nominal per unitGBP 100,000
CFIDTFOFB
Reference venue (MIC)XPAR
Trading venues13
StatusActive
First seen2026-07-19
Last seen2026-08-04
Similar instruments
All Tier 2 instrumentsActive fixed rate Tier 2 instruments in GBP maturing within two years of this one, across the entity universe.
Peer instruments
10
Peer median coupon
5%
Coupon percentile
20th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2303762475 | Deutsche Bank | DeutscheBank 1 875% 22 12 2028 | 1.875% | 2028-12-22 | GBP 600m |
| MT0000551318 | MeDirect Bank | 4% MeDirect Bank Malta plc Subordinated Unsecured Bonds GBP 2024-2029 | 4% | 2029-11-05 | GBP 2m |
| MT0000551292 | MeDirect Bank | 5% MeDirect Bank Malta plc Subordinated Unsecured Bonds GBP 2027 | 5% | 2027-10-13 | GBP 1m |
| XS3008530134 | Deutsche Bank | DeutscheBank 5% 26 02 2029 | 5% | 2029-02-26 | GBP 500m |
| XS0827563452 | Rabobank | RABO GBP 5.25% TIER2 14SEP2012-27 | 5.25% | 2027-09-14 | GBP 500m |
| FR001400N624 | Crédit Agricole | CASA5,375%15JAN29 | 5.375% | 2029-01-15 | GBP 600m |
XS2303762475Deutsche Bank
MT0000551318MeDirect Bank
MT0000551292MeDirect Bank
XS3008530134Deutsche Bank
XS0827563452Rabobank
FR001400N624Crédit Agricole
Other instruments from BNP Paribas
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| US09659X2C50 | BNPP 3.500 11/16/27 MTN | T2 | 3.5% | 2027-11-16 | USD 1,500m |
| FR00140005J1 | BNPP0.375%14OCT27 | T2 | 0.375% | 2027-10-14 | EUR 750m |
| FR0013484458 | BNPP0.5%19FEB28 | T2 | 0.5% | 2028-02-19 | EUR 1,250m |
| FR0014008M24 | BNPPFRN24FEB28 | T2 | Not disclosed | 2028-02-24 | AUD 250m |
| FR0014008M32 | BNPP3.695%24FEB28 | T2 | 3.695% | 2028-02-24 | AUD 275m |
| FR00140028Z9 | BNPP1.795%3SEP2027 | T2 | 1.795% | 2027-09-03 | AUD 250m |
| FR00140028Y2 | BNPPFRN3SEP2027 | T2 | Not disclosed | 2027-09-03 | AUD 200m |
| FR0013476827 | BNPPARI2.5%17JUL27 | T2 | 2.5% | 2027-07-17 | AUD 200m |
US09659X2C50BNPP 3.500 11/16/27 MTN
FR00140005J1BNPP0.375%14OCT27
FR0013484458BNPP0.5%19FEB28
FR0014008M24BNPPFRN24FEB28
FR0014008M32BNPP3.695%24FEB28
FR00140028Z9BNPP1.795%3SEP2027
FR00140028Y2BNPPFRN3SEP2027
FR0013476827BNPPARI2.5%17JUL27