BKIR 7 1/2 PERP
AT1XS2178043530
IssuerBank of Ireland
Issuer LEI635400C8EK6DRI12LJ39
SeniorityAT1
Classification basisCFI classification
Total issued nominalEUR 675m
CurrencyEUR
Coupon7.5%
Interest typeFixed rate
Maturity datePerpetual
First trade date2020-05-20
Nominal per unitEUR 1,000
CFIDBFJPR
Reference venue (MIC)MANL
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
70
Peer median coupon
6%
Coupon percentile
93rd
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2785548053 | Raiffeisen Bank International | RaiffeisenBkInt 7 375% pp | 7.375% | Perpetual | EUR 650m |
| XS2585553097 | Bankinter | BANKINTER, S.A. Issue of EUR 300,000,000 Perpetual Non-Cumulative Contingent Convertible Additional Tier 1 Preferred Securities | 7.375% | Perpetual | EUR 300m |
| XS2916827152 | Banque Internationale à Luxembourg | BIL 7 25% pp | 7.25% | Perpetual | EUR 300m |
| XS2819840120 | BAWAG Group | BawagGroup 7 25% pp | 7.25% | Perpetual | EUR 500m |
| XS3060301168 | Citadele | AS CITADELE BANKA EUR 50,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Temporary Write Down Notes | 7.125% | Perpetual | EUR 50m |
| XS2808268390 | AIB Group | AIB GROUP PLC €625,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write Down Securities | 7.125% | Perpetual | EUR 625m |
XS2785548053Raiffeisen Bank International
XS2585553097Bankinter
XS2916827152Banque Internationale à Luxembourg
XS2819840120BAWAG Group
XS3060301168Citadele
XS2808268390AIB Group
Other instruments from Bank of Ireland
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS3021369809 | BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities | AT1 | 6.125% | Perpetual | EUR 600m |
| XS2898168443 | BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities | AT1 | 0% | Perpetual | EUR 600m |
| XS2226123573 | BKIR 6 PERP | AT1 | 6% | Perpetual | EUR 300m |
| US06279JAE91 | BANK OF IRELAND GROUP PLC US$1,000,000,000 4.997% Fixed-to-Floating Rate Notes due 2032, Rule 144A | SP | 4.997% | 2032-11-12 | USD 1,000m |
| USG0756RBT52 | BANK OF IRELAND GROUP PLC US$1,000,000,000 4.997% Fixed-to-Floating Rate Notes due 2032, Reg S | SP | 4.997% | 2032-11-12 | USD 1,000m |
| XS3332496184 | BANK OF IRELAND GROUP PLC Issue of €750,000,000 Fixed Rate Reset Callable Notes due April 2034 | SP | 3.875% | 2034-04-02 | EUR 750m |
| XS3268047118 | BANK OF IRELAND GROUP PLC Issue of €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due January 2038 | T2 | 4% | 2038-01-12 | EUR 500m |
| XS3225871121 | BANK OF IRELAND GROUP PLC €750,000,000 Fixed Rate Reset Callable Notes due November 2036 | SP | 3.625% | 2036-11-10 | EUR 750m |
XS3021369809BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities
XS2898168443BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities
XS2226123573BKIR 6 PERP
US06279JAE91BANK OF IRELAND GROUP PLC US$1,000,000,000 4.997% Fixed-to-Floating Rate Notes due 2032, Rule 144A
USG0756RBT52BANK OF IRELAND GROUP PLC US$1,000,000,000 4.997% Fixed-to-Floating Rate Notes due 2032, Reg S
XS3332496184BANK OF IRELAND GROUP PLC Issue of €750,000,000 Fixed Rate Reset Callable Notes due April 2034
XS3268047118BANK OF IRELAND GROUP PLC Issue of €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due January 2038
XS3225871121BANK OF IRELAND GROUP PLC €750,000,000 Fixed Rate Reset Callable Notes due November 2036