BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY EUR 2,000,000 Securities due January 2030
Senior PreferredXS2638224126
IssuerBarclays Bank Ireland
Issuer LEI2G5BKIC2CB69PRJH1W31
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalEUR 2m
CurrencyEUR
Coupon0%
Interest typeZero coupon
Maturity date2030-01-29 · 3.5y
First trade date2026-01-29
Nominal per unitEUR 1,000
CFIDTZXFB
Reference venue (MIC)XMSM
Trading venues1
StatusActive
First seen2026-08-04
Last seen2026-08-04
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Other instruments from Barclays Bank Ireland
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2638224399 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 12,800,000.00 and the issue price is 100.00% of par. The issue date is 29 January 2026 and the redemption date is 29 January 2030 | SP | 0% | 2030-01-29 | GBP 13m |
| XS2638223748 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 6,250,000.00 Securities due January 2030 | SP | 0% | 2030-01-28 | GBP 6m |
| XS2638223409 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 3,950,000.00 Securities due 28 January 2030 | SP | 0% | 2030-01-28 | GBP 4m |
| XS2638167226 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 7,000,000 Securities due January 2030 pursuant to the Global Structured Securities Programme | SP | 0% | 2030-01-28 | GBP 7m |
| XS2638166178 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 20,000,000 Securities due January 2030 | SP | 0% | 2030-01-31 | GBP 20m |
| XS2638224985 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 6,000,000 Securities due 4 February 2030 | SP | 0% | 2030-02-04 | GBP 6m |
| XS2638222187 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY USD 3,000,000 Worst-of Quanto European Barrier Autocallable Equity Linked Securities linked to a Basket of Equity Indices due 22 January 2030 | SP | 0% | 2030-01-22 | USD 3m |
| XS2638163746 | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY Issue of EUR 2,007,000 Securities due February 2030 under the Global Structured Securities Programme (the “Securities”) | SP | 0% | 2030-02-05 | EUR 2m |
XS2638224399BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 12,800,000.00 and the issue price is 100.00% of par. The issue date is 29 January 2026 and the redemption date is 29 January 2030
XS2638223748BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 6,250,000.00 Securities due January 2030
XS2638223409BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 3,950,000.00 Securities due 28 January 2030
XS2638167226BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 7,000,000 Securities due January 2030 pursuant to the Global Structured Securities Programme
XS2638166178BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 20,000,000 Securities due January 2030
XS2638224985BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 6,000,000 Securities due 4 February 2030
XS2638222187BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY USD 3,000,000 Worst-of Quanto European Barrier Autocallable Equity Linked Securities linked to a Basket of Equity Indices due 22 January 2030
XS2638163746BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY Issue of EUR 2,007,000 Securities due February 2030 under the Global Structured Securities Programme (the “Securities”)