Bank debt issued in Ireland
Live debt instruments issued by the Ireland banks in the tracked universe, classified by where each one sits in the creditor hierarchy. The counts below cover the capital stack — Additional Tier 1, Tier 2, senior non-preferred, senior preferred and covered bonds — and exclude structured certificates, which the issuers report to FIRDS in far greater numbers than their funding instruments.
Notional is summed over EUR-denominated lines that report an amount. FIRDS carries no exchange rates, so amounts in other currencies are counted but never converted.
By seniority class
| Class | Instruments | Notional (EUR) |
|---|---|---|
| Senior PreferredSenior Preferred | 28 | EUR 10,550m |
| Tier 2Tier 2 | 13 | EUR 3,744m |
| AT1AT1 | 8 | EUR 4,289m |
Largest issuers
By number of live instruments. Issuance count is not issuance volume — a bank running a large medium-term note programme shows many small lines.
Most recently issued
Source: ESMA FIRDSUpdated 2026-07-20| First trade | ISIN | Instrument | Issuer | Seniority | Ccy | Coupon | Maturity |
|---|---|---|---|---|---|---|---|
| 2026-07-15 | US06279JAE91 | BKIR 4.997 11/12/32 BOND | Bank of Ireland | SP | USD | 4.997% | 2032-11-12 |
| 2026-05-05 | USG0756RBT52 | BANK OF IRELAND GROUP PLC US$1,000,000,000 4.997% Fixed-to-Floating Rate Notes due 2032, Reg S | Bank of Ireland | SP | USD | 4.997% | 2032-11-12 |
| 2026-03-26 | XS3332496184 | BANK OF IRELAND GROUP PLC Issue of €750,000,000 Fixed Rate Reset Callable Notes due April 2034 | Bank of Ireland | SP | EUR | 3.875% | 2034-04-02 |
| 2026-01-05 | XS3268047118 | BANK OF IRELAND GROUP PLC Issue of €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due January 2038 | Bank of Ireland | T2 | EUR | 4% | 2038-01-12 |
| 2025-11-25 | XS3237229193 | AIB GROUP PLC Issue of €1,000,000,000 Fixed Rate Callable Resettable Subordinated Notes due 2036 | AIB Group | T2 | EUR | 0% | 2036-12-02 |
| 2025-11-03 | XS3225871121 | BANK OF IRELAND GROUP PLC €750,000,000 Fixed Rate Reset Callable Notes due November 2036 | Bank of Ireland | SP | EUR | 3.625% | 2036-11-10 |
| 2025-05-12 | XS3074495790 | BANK OF IRELAND GROUP PLC Issue of €750,000,000 Fixed Rate Reset Callable Notes due May 2032 | Bank of Ireland | SP | EUR | 3.625% | 2032-05-19 |
| 2025-05-09 | US00135TAF12 | AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (144A) | AIB Group | SP | USD | 5.32% | 2031-05-15 |
| 2025-05-09 | USG0R4HJAK23 | AIB GROUP PLC Issue of U.S.$750,000,000 Fixed-to-Floating Rate Senior Notes due 2031 (Reg S) | AIB Group | SP | USD | 5.32% | 2031-05-15 |
| 2025-03-19 | XS3035911760 | AIB GROUP PLC Issue of €300,000,000 Fixed Rate Callable Resettable Senior Notes due 2036 | AIB Group | SP | EUR | 4% | 2036-03-26 |
| 2025-03-13 | XS3027988933 | AIB GROUP PLC Issue of €500,000,000 Fixed Rate Callable Resettable Senior Notes due 2033 | AIB Group | SP | EUR | 3.75% | 2033-03-20 |
| 2025-03-10 | XS3021369809 | BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities | Bank of Ireland | AT1 | EUR | 6.125% | Perpetual |
| 2025-01-07 | XS2959514519 | AIBG 6.000 Perp | AIB Group | AT1 | EUR | 6% | Perpetual |
| 2024-09-03 | XS2898168443 | BANK OF IRELAND GROUP PLC €600,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities | Bank of Ireland | AT1 | EUR | 0% | Perpetual |
| 2024-05-13 | XS2823235085 | AIB GROUP PLC Issue of €650,000,000 Fixed Rate Callable Resettable Subordinated Notes due 2035 | AIB Group | T2 | EUR | 4.625% | 2035-05-20 |
| 2024-05-02 | XS2817924660 | BANK OF IRELAND GROUP PLC €500,000,000 Fixed Rate Reset Subordinated Tier 2 Notes due August 2034 | Bank of Ireland | T2 | EUR | 4.75% | 2034-08-10 |
| 2024-04-23 | XS2808268390 | AIB GROUP PLC €625,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write Down Securities | AIB Group | AT1 | EUR | 7.125% | Perpetual |
| 2024-03-22 | USG0R4HJAF38 | AIB GROUP PLC Issue of S.$1,000,000,000 Fixed-to-Floating Rate Senior Notes due 2035 under the U.S.$10,000,000,000 Reg S | AIB Group | SP | USD | 5.871% | 2035-03-28 |
| 2024-03-21 | US00135TAE47 | AIB GROUP PLC Issue of S.$1,000,000,000 Fixed-to-Floating Rate Senior Notes due 2035 under the U.S.$10,000,000,000 Reg 144A | AIB Group | SP | USD | 5.87% | 2035-03-28 |
| 2024-03-14 | US06279JAD19 | BANK OF IRELAND GROUP PLC $1,000,000,000 5.601% Fixed-to-Floating Rate Notes due 2030 | Bank of Ireland | T2 | USD | 5.601% | 2030-03-20 |
| 2024-03-14 | USG0756RBK44 | BANK OF IRELAND GROUP PLC $1,000,000,000 5.601% Fixed-to-Floating Rate Notes due 2030 | Bank of Ireland | T2 | USD | 5.601% | 2030-03-20 |
| 2023-11-06 | XS2717301365 | BANK OF IRELAND GROUP PLC Issue of €750,000,000 Fixed Rate Reset Callable Notes due November 2029 | Bank of Ireland | SP | EUR | 4.625% | 2029-11-13 |
| 2023-10-16 | XS2707169111 | AIB GROUP PLC Issue of €750,000,000 Fixed Rate Callable Resettable Senior Notes due 2031 | AIB Group | SP | EUR | 5.25% | 2031-10-23 |
| 2023-09-07 | US00135TAD63 | AIBG 6.608 09/13/29 '28 MTN | AIB Group | SP | USD | 6.608% | 2029-09-13 |
| 2023-09-07 | USG0R4HJAD89 | AIB GROUP PLC Issue of U.S.$1,000,000,000 Fixed-to-Floating Rate Senior Notes due 2029 | AIB Group | SP | USD | 6.608% | 2029-09-13 |
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