STAN 1.200 09/23/31 '26 FRN
Tier 2XS2319954710
IssuerStandard Chartered
Issuer LEIU4LOSYZ7YG4W3S5F2G91
SeniorityTier 2
Classification basisFIRDS debt seniority field
Total issued nominalEUR 1,000m
CurrencyEUR
Coupon1.2%
Interest typeFixed rate
Maturity date2031-09-23 · 5.1y
First trade date2021-03-16
Nominal per unitEUR 100,000
CFIDTFOGR
Reference venue (MIC)BTFE
Trading venues18
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
116
Peer median coupon
3.5%
Coupon percentile
18th
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2310118976 | CaixaBank | CABKSM 1.250 6/18/31 c26 (URegS) CAIXABANK | 1.25% | 2031-06-18 | EUR 1,000m |
| FR0013518057 | Société Générale | SOCGEN1.25%12JUN30 | 1.25% | 2030-06-12 | EUR 1,100m |
| FR0014002QE8 | Société Générale | SOCGE1.125%30JUN31 | 1.125% | 2031-06-30 | EUR 1,000m |
| FR0014007MK3 | Crédit Agricole | CASA1.125%12JUL32 | 1.125% | 2032-07-12 | EUR 1,000m |
| XS2382950330 | NatWest Group | NatWest Group PLC EO-FLR Med.-T.Nts 2021(27/32) | 1.043% | 2032-09-14 | EUR 750m |
| XS2509750233 | DZ Bank | DZBank 1 026% 05 08 2032 | 1.026% | 2032-08-05 | EUR 400m |
XS2310118976CaixaBank
FR0013518057Société Générale
FR0014002QE8Société Générale
FR0014007MK3Crédit Agricole
XS2382950330NatWest Group
XS2509750233DZ Bank
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|---|---|---|---|---|---|
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XS2183818637STANLN 2 1/2 09/09/30 BOND
US853254CH12STAN 3.603 01/12/33 '32 FRN
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XS1793294841STAN 4.866 03/15/33 '28 FRN
XS2078692014STAN 3.516 12/02/30
US853254BU32STAN 3.265 02/18/36 '30 FRN
XS2230265246STAN 3.265 02/18/36 '30 FRN
US853254BF64STAN 4.300 02/19/27