NWIDE 5.519 07/14/37 BOND
Senior PreferredUS638602BV35
IssuerNationwide
Issuer LEI549300XFX12G42QIKN82
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalUSD 750m
CurrencyUSD
Coupon5.519%
Interest typeFloating rate
Maturity date2037-07-14 · 11y
First trade date2026-07-31
Nominal per unitUSD 200,000
CFIDBVNGR
Reference venue (MIC)BTFE
Trading venues1
StatusActive
First seen2026-08-01
Last seen2026-08-04
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| US83368RCN08 | Société Générale | SOGN 5.400 04/10/37 '36 MTN | 5.4% | 2037-04-10 | USD 1,000m |
USF1058YHX97BNP Paribas
US06738EDN22Barclays
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Other instruments from Nationwide
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| USG6398ADG97 | NBS 5.519 14/07/37 | SP | 5.519% | 2037-07-14 | USD 750m |
| XS3285026665 | NBS 3.854 02/03/37 '36 MTN | SP | 3.854% | 2037-02-03 | EUR 1,000m |
| XS2697559628 | NWIDE 6.122 09/29/36 BOND | SP | 6.122% | 2036-09-29 | GBP 20m |
| US63861VAN73 | NBS 5.537 07/14/36 '35 MTN | SP | 5.537% | 2036-07-14 | USD 1,000m |
| US63861WAN56 | NBS 5.537 07/14/36 '35 MTN | SP | 5.537% | 2036-07-14 | USD 1,000m |
| XS1368735806 | NWIDE 2.31 02/22/36 | SP | 2.31% | 2036-02-22 | EUR 30m |
| XS2986730617 | NBS 3.770 01/27/36 '35 MTN | SP | 3.77% | 2036-01-27 | EUR 1,250m |
| XS3268962092 | NBS 5.167 12/12/33 '32 MTN | SP | 5.167% | 2033-12-12 | GBP 500m |
USG6398ADG97NBS 5.519 14/07/37
XS3285026665NBS 3.854 02/03/37 '36 MTN
XS2697559628NWIDE 6.122 09/29/36 BOND
US63861VAN73NBS 5.537 07/14/36 '35 MTN
US63861WAN56NBS 5.537 07/14/36 '35 MTN
XS1368735806NWIDE 2.31 02/22/36
XS2986730617NBS 3.770 01/27/36 '35 MTN
XS3268962092NBS 5.167 12/12/33 '32 MTN