BPI2.75%25FEB29
Senior PreferredFR001400WJ56
IssuerBpifrance
Issuer LEI969500STN7T9MRUMJ267
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalEUR 1,500m
CurrencyEUR
Coupon2.75%
Interest typeFixed rate
Maturity date2029-02-25 · 2.6y
First trade date2025-01-03
Nominal per unitEUR 100,000
CFIDTFUFB
Reference venue (MIC)XPAR
Trading venues10
StatusActive
First seen2026-08-04
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
5,652
Peer median coupon
2.45%
Coupon percentile
64th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| DE000LB5QP81 | LBBW | LBBW Festzins 29 | 2.75% | 2029-03-05 | EUR 24m |
| DE000HLB54H7 | Helaba | Lb.Hessen-Thüringen GZ Carrara 02d/24 IHS 24(25/29) | 2.75% | 2029-02-14 | EUR 4m |
| DE000LB4V2M1 | LBBW | LBBW Festzins 29 | 2.75% | 2029-03-12 | EUR 450m |
| AT0000A3T3E6 | Raiffeisenlandesbank Oberösterreich | 2,75% festverzinsliche Schuldverschreibungen faellig 2029/Serie 489 | 2.75% | 2029-03-20 | EUR 23m |
| AT000B122312 | Volksbank Wien | 2,75 % VOLKSBANK WIEN AG Gruene Schuldverschreibungen 2024-2029/Serie 3 | 2.75% | 2029-01-30 | EUR 100m |
| XS2797440638 | BNG Bank | BNGBank 2 75% 05 04 2029 | 2.75% | 2029-04-05 | EUR 2,225m |
DE000LB5QP81LBBW
DE000HLB54H7Helaba
DE000LB4V2M1LBBW
AT0000A3T3E6Raiffeisenlandesbank Oberösterreich
AT000B122312Volksbank Wien
XS2797440638BNG Bank
Other instruments from Bpifrance
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|---|---|---|---|---|---|
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| FR001400SCU5 | BPI2.75%25MAY29 | SP | 2.75% | 2029-05-25 | EUR 1,500m |
| FR00140084Y5 | BPIFR0.125%25NOV28 | SP | 0.125% | 2028-11-25 | EUR 1,800m |
| FR0129781433 | BPIFN 06/04/29 FRN MTN | SP | Not disclosed | 2029-06-04 | EUR 45m |
| FR001400SNS6 | BPI3.875%22OCT28 | SP | 3.875% | 2028-10-22 | GBP 300m |
| FR0013367604 | BPIFR0.875%26SEP28 | SP | 0.875% | 2028-09-26 | EUR 1,880m |
| FR0011286822 | BPIFRANCFRN27JUL29 | SP | Not disclosed | 2029-07-27 | EUR 104m |
| FR0013448776 | BPIFR0.05%26SEP29 | SP | 0.05% | 2029-09-26 | EUR 1,600m |
FR0129676526BPIFRA Float 04/08/29 BOND
FR001400SCU5BPI2.75%25MAY29
FR00140084Y5BPIFR0.125%25NOV28
FR0129781433BPIFN 06/04/29 FRN MTN
FR001400SNS6BPI3.875%22OCT28
FR0013367604BPIFR0.875%26SEP28
FR0011286822BPIFRANCFRN27JUL29
FR0013448776BPIFR0.05%26SEP29