BNPP2.25%11JAN2027
Tier 2XS1470601656
IssuerBNP Paribas
Issuer LEIR0MUWSFPU8MPRO8K5P83
SeniorityTier 2
Classification basisFIRDS debt seniority field
Total issued nominalEUR 1,020m
CurrencyEUR
Coupon2.25%
Interest typeFixed rate
Maturity date2027-01-11 · 0.4y
First trade date2016-08-05
Nominal per unitEUR 100,000
CFIDTFQFB
Reference venue (MIC)XPAR
Trading venues22
StatusActive
First seen2026-07-19
Last seen2026-08-04
Similar instruments
All Tier 2 instrumentsActive fixed rate Tier 2 instruments in EUR maturing within two years of this one, across the entity universe.
Peer instruments
68
Peer median coupon
2.917%
Coupon percentile
41st
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| FR0013207354 | La Banque Postale | LBQUEPO2.25%5OCT28 | 2.25% | 2028-10-05 | EUR 100m |
| FR0013192762 | Crédit Agricole | CASA2.30%24OCT2026 | 2.3% | 2026-10-24 | EUR 682m |
| XS1767931121 | Banco Santander | BANCO SANTANDER, S.A. Issue of EUR 1,250,000,000 2.125 per cent. Fixed Rate Tier 2 Subordinated Instruments Due 8 February 2028 | 2.125% | 2028-02-08 | EUR 1,250m |
| XS1638160678 | Banco Santander | BANCO SANTANDER, S.A. Issue of EUR 50,000,000 Fixed Rate Tier 2 Subordinated Instruments due 5 July 2027 under the €25,000,000,000 Programme for the Issuance of Debt Instruments | 2.385% | 2027-07-05 | EUR 50m |
| CH1170565753 | Zürcher Kantonalbank | ZKB 2.020 04/13/28 '27 FRN | 2.02% | 2028-04-13 | EUR 500m |
| FR0013218849 | Crédit Agricole | CASA2.50%22DEC2026 | 2.5% | 2026-12-22 | EUR 469m |
FR0013207354La Banque Postale
FR0013192762Crédit Agricole
XS1767931121Banco Santander
XS1638160678Banco Santander
CH1170565753Zürcher Kantonalbank
FR0013218849Crédit Agricole
Other instruments from BNP Paribas
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| US05581KAC53 | BNPP 4.625 03/13/27 | T2 | 4.625% | 2027-03-13 | USD 1,600m |
| US05581LAC37 | BNPP 4.625 03/13/27 | T2 | 4.625% | 2027-03-13 | USD 1,600m |
| FR0014002X43 | BNPP 0.25 13/04/27 | T2 | 0.25% | 2027-04-13 | EUR 1,250m |
| XS1378880253 | BNPP2.875%1OCT26 | T2 | 2.875% | 2026-10-01 | EUR 750m |
| FR0013476827 | BNPPARI2.5%17JUL27 | T2 | 2.5% | 2027-07-17 | AUD 200m |
| FR0013476736 | BNPPARFRN17JUL27 | T2 | Not disclosed | 2027-07-17 | AUD 100m |
| FR00140028Y2 | BNPPFRN3SEP2027 | T2 | Not disclosed | 2027-09-03 | AUD 200m |
| FR00140028Z9 | BNPP1.795%3SEP2027 | T2 | 1.795% | 2027-09-03 | AUD 250m |
US05581KAC53BNPP 4.625 03/13/27
US05581LAC37BNPP 4.625 03/13/27
FR0014002X43BNPP 0.25 13/04/27
XS1378880253BNPP2.875%1OCT26
FR0013476827BNPPARI2.5%17JUL27
FR0013476736BNPPARFRN17JUL27
FR00140028Y2BNPPFRN3SEP2027
FR00140028Z9BNPP1.795%3SEP2027