BANK OF IRELAND GROUP PLC Issue of €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due January 2038
Tier 2XS3268047118
IssuerBank of Ireland
Issuer LEI635400C8EK6DRI12LJ39
SeniorityTier 2
Classification basisInstrument name
Total issued nominalEUR 500m
CurrencyEUR
Coupon4%
Interest typeFixed rate
Maturity date2038-01-12 · 11y
First trade date2026-01-05
Nominal per unitEUR 100,000
CFIDTFXFR
Reference venue (MIC)XMSM
Trading venues13
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
42
Peer median coupon
4.125%
Coupon percentile
43rd
| ISIN | Issuer | Instrument | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS3393974228 | Nationwide | NBS 4.000 06/09/37 '32 FRN | 4% | 2037-06-09 | EUR 500m |
| XS3016984372 | CaixaBank | CAIXABANK, S.A. Issue of EUR 1,000,000,000 Fixed Reset Tier 2 Subordinated Notes due March 2037 | 4% | 2037-03-05 | EUR 1,000m |
| XS3009012470 | BBVA | BANCO BILBAO VIZCAYA ARGENTARIA, S.A. Issue of EUR 1,000,000,000 4.000 per cent. Callable Subordinated Tier 2 Notes due 25 February 2037 | 4% | 2037-02-25 | EUR 1,000m |
| FR0014015DL3 | Groupe BPCE | BPCE FX 4% JAN37 SUB CALL EUR | 4% | 2037-01-16 | EUR 750m |
| FR00140199V7 | BNP Paribas | BNPPARIBAS FX 4.002% JUN36 EUR | 4.002% | 2036-06-23 | EUR 1,000m |
| FR0014015QG5 | Crédit Agricole | CDTAGRICOLES FX 3.875% FEB38 EUR | 3.875% | 2038-02-16 | EUR 1,250m |
XS3393974228Nationwide
XS3016984372CaixaBank
XS3009012470BBVA
FR0014015DL3Groupe BPCE
FR00140199V7BNP Paribas
FR0014015QG5Crédit Agricole
Other instruments from Bank of Ireland
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|---|---|---|---|---|---|
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| 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 |
XS2817924660BANK OF IRELAND GROUP PLC €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due August 2034
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US06279JAD19BANK OF IRELAND GROUP PLC $1,000,000,000 5.601% Fixed-to-Floating Rate Notes due 2030
USG0756RBK44BANK OF IRELAND GROUP PLC $1,000,000,000 5.601% Fixed-to-Floating Rate Notes due 2030
XS2065555562BIRG 2.375 14/10/29
XS1685476092BKIR 4 1/8 09/19/27 BOND
XS3225871121BANK OF IRELAND GROUP PLC €750,000,000 Fixed Rate Reset Callable Notes due November 2036