LBBadenWurt FRN 19 01 2031
AT1XS0122525875
IssuerLBBW
Issuer LEIB81CK4ESI35472RHJ606
SeniorityAT1
Classification basisFIRDS debt seniority field
Total issued nominalEUR 17m
CurrencyEUR
CouponNot disclosed
Interest typeFloating rate
Maturity date2031-01-19 · 4.4y
First trade date2001-01-23
Nominal per unitEUR 1,000
CFIDTVQFB
Reference venue (MIC)FRAB
Trading venues4
StatusActive
First seen2026-07-19
Last seen2026-08-04
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Other instruments from LBBW
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|---|---|---|---|---|---|
| XS0123536939 | LBBadenWurt FRN 23 01 2031 | AT1 | Not disclosed | 2031-01-23 | EUR 50m |
| XS0128200622 | LBBadenWurt FRN 25 04 2031 | AT1 | Not disclosed | 2031-04-25 | EUR 50m |
| XS0118476844 | LBBadenWurt FRN 04 10 2030 | AT1 | Not disclosed | 2030-10-04 | EUR 72m |
| XS0118304392 | LBBadenWurt FRN 04 10 2030 | AT1 | Not disclosed | 2030-10-04 | EUR 10m |
| XS0110834552 | LBBadenWurt FRN 28 04 2030 | AT1 | Not disclosed | 2030-04-28 | EUR 35m |
| XS0105748205 | LBBadenWurt FRN 17 01 2030 | AT1 | Not disclosed | 2030-01-22 | EUR 76m |
| XS0084863447 | LBBadenWurt 6 875% 23 02 2028 | AT1 | 6.875% | 2028-02-23 | USD 300m |
| XS0122594921 | LBBadenWurt FRN 22 01 2041 | AT1 | Not disclosed | 2041-01-22 | EUR 33m |
XS0123536939LBBadenWurt FRN 23 01 2031
XS0128200622LBBadenWurt FRN 25 04 2031
XS0118476844LBBadenWurt FRN 04 10 2030
XS0118304392LBBadenWurt FRN 04 10 2030
XS0110834552LBBadenWurt FRN 28 04 2030
XS0105748205LBBadenWurt FRN 17 01 2030
XS0084863447LBBadenWurt 6 875% 23 02 2028
XS0122594921LBBadenWurt FRN 22 01 2041