AIB 6 1/4 PERP
AT1XS2010031057
IssuerAIB Group
Issuer LEI635400AKJBGNS5WNQL34
SeniorityAT1
Classification basisFIRDS debt seniority field
Total issued nominalEUR 625m
CurrencyEUR
Coupon6.25%
Interest typeFixed rate
Maturity datePerpetual
First trade date2020-06-16
Nominal per unitEUR 200,000
CFIDBFXQR
Reference venue (MIC)BTFE
Trading venues4
StatusActive
First seen2026-07-19
Last seen2026-08-04
Similar instruments
All AT1 instrumentsActive fixed rate AT1 instruments in EUR with no scheduled maturity, across the entity universe.
Peer instruments
69
Peer median coupon
6%
Coupon percentile
61st
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS3224517410 | Eurobank | EURB 6.250 Perp '33 FRN | 6.25% | Perpetual | EUR 600m |
| XS2199369070 | Bankinter | BKT 6.250 Perp '26 FRN | 6.25% | Perpetual | EUR 350m |
| XS3258450074 | Raiffeisen Bank International | RaiffeisenBkInt 6 2% pp | 6.2% | Perpetual | EUR 650m |
| XS3176355751 | Barclays | BARC 6.125 Perp '35 FRN | 6.125% | Perpetual | EUR 1,500m |
| XS3028073701 | Raiffeisen Bank International | RaiffeisenBkInt 6 375% pp | 6.375% | Perpetual | EUR 500m |
| XS3021369809 | Bank of Ireland | BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities | 6.125% | Perpetual | EUR 600m |
XS3224517410Eurobank
XS2199369070Bankinter
XS3258450074Raiffeisen Bank International
XS3176355751Barclays
XS3028073701Raiffeisen Bank International
XS3021369809Bank of Ireland
Other instruments from AIB Group
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2959514519 | AIBG 6.000 Perp | AT1 | 6% | Perpetual | EUR 700m |
| XS2808268390 | AIB GROUP PLC €625,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write Down Securities | AT1 | 7.125% | Perpetual | EUR 625m |
| XS2056697951 | AIB 5 1/4 PERP | AT1 | 5.25% | Perpetual | EUR 164m |
| XS3237229193 | AIB GROUP PLC Issue of €1,000,000,000 Fixed Rate Callable Resettable Subordinated Notes due 2036 | T2 | 0% | 2036-12-02 | EUR 1,000m |
| USG0R4HJAK23 | AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (Reg S) | SP | 5.32% | 2031-05-15 | USD 750m |
| US00135TAF12 | AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (144A) | SP | 5.32% | 2031-05-15 | USD 750m |
| XS3035911760 | AIB GROUP PLC Issue of €300,000,000 Fixed Rate Callable Resettable Senior Notes due 2036 | SP | 4% | 2036-03-26 | EUR 300m |
| XS3027988933 | AIB GROUP PLC Issue of €500,000,000 Fixed Rate Callable Resettable Senior Notes due 2033 | SP | 3.75% | 2033-03-20 | EUR 500m |
XS2959514519AIBG 6.000 Perp
XS2808268390AIB GROUP PLC €625,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write Down Securities
XS2056697951AIB 5 1/4 PERP
XS3237229193AIB GROUP PLC Issue of €1,000,000,000 Fixed Rate Callable Resettable Subordinated Notes due 2036
USG0R4HJAK23AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (Reg S)
US00135TAF12AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (144A)
XS3035911760AIB GROUP PLC Issue of €300,000,000 Fixed Rate Callable Resettable Senior Notes due 2036
XS3027988933AIB GROUP PLC Issue of €500,000,000 Fixed Rate Callable Resettable Senior Notes due 2033