BNPParibas 1 59% 23 02 2051
Senior PreferredFR0014002531
IssuerBNP Paribas
Issuer LEIR0MUWSFPU8MPRO8K5P83
SenioritySenior Preferred
Classification basisCFI classification
Total issued nominalEUR 90m
CurrencyEUR
Coupon1.59%
Interest typeFixed rate
Maturity date2051-02-23 · 25y
First trade date2021-02-23
Nominal per unitEUR 100,000
CFIDBFNGB
Reference venue (MIC)XLUX
Trading venues2
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
27
Peer median coupon
1.557%
Coupon percentile
56th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS1579316362 | Municipality Finance | KUNTA 1.557 03/29/52 | 1.557% | 2052-03-29 | EUR 30m |
| DE000MHB65L3 | Münchener Hypothekenbank | MUENCH.HYP.BK.IS.21/50 | 1.495% | 2050-10-05 | EUR 56m |
| DE000MHB65Q2 | Münchener Hypothekenbank | MUENCH.HYP.BK.IS.21/51 | 1.692% | 2051-11-06 | EUR 100m |
| DE000LB2CKC0 | LBBW | LBBW Festzins 49 | 1.3% | 2049-06-21 | EUR 95m |
| DE000DFK0E85 | DZ Bank | DZ BANK AG Deut.Zentral-Gen. MTN-IHS A.1522 v.20(21/50) | 1.2% | 2050-11-25 | EUR 35m |
| XS2327972662 | Municipality Finance | MUNIFIN EUR 13M 2051 | 1.197% | 2051-04-06 | EUR 13m |
XS1579316362Municipality Finance
DE000MHB65L3Münchener Hypothekenbank
DE000MHB65Q2Münchener Hypothekenbank
DE000LB2CKC0LBBW
DE000DFK0E85DZ Bank
XS2327972662Municipality Finance
Other instruments from BNP Paribas
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| FR0014002L47 | BNPParibas 300 87584 24 03 2051 | SP | 0% | 2051-03-24 | AUD 30m |
| FR0014002LX9 | BNPParibas 304 37571 29 03 2051 | SP | 0% | 2051-03-29 | AUD 20m |
| FR0014002MS7 | BNPParibas 305 25681 30 03 2051 | SP | 0% | 2051-03-30 | AUD 18m |
| XS2676682300 | BNP 0 12/23/50 SDRV | SP | 0% | 2050-12-23 | EUR 3m |
| FR0013534716 | BNP 0 09/25/50 BOND | SP | 0% | 2050-09-25 | USD 330m |
| FR0013399011 | BNPParibas 3 005% 28 07 2049 | SP | 3.005% | 2049-07-28 | EUR 15m |
| XS1838073077 | BNPParibas 2 4% 14 06 2048 | SP | 2.4% | 2048-06-14 | EUR 50m |
| XS3064227666 | BNP 0 07/21/55 SDRV | SP | 0% | 2055-07-21 | EUR 10m |
FR0014002L47BNPParibas 300 87584 24 03 2051
FR0014002LX9BNPParibas 304 37571 29 03 2051
FR0014002MS7BNPParibas 305 25681 30 03 2051
XS2676682300BNP 0 12/23/50 SDRV
FR0013534716BNP 0 09/25/50 BOND
FR0013399011BNPParibas 3 005% 28 07 2049
XS1838073077BNPParibas 2 4% 14 06 2048
XS3064227666BNP 0 07/21/55 SDRV