Banking Resolution

Instruments

Every debt instrument issued by the banks in the tracked universe, classified by where it sits in the creditor hierarchy. Filter the set, then export exactly what you filtered.

Issuance by year and seniority

EUR-denominated, EURm, capital-stack classes only

EUR-denominated issuance by first trade date, stacked by seniority class, 2012–2026. The chart reflects whatever filters are applied; the instrument-by-instrument breakdown is below.

AT1
2,400EURm
Tier 2
2,832EURm
Senior Non-Preferred
12EURm
Senior Preferred
5,198EURm
Covered
10,350EURm
All classes
20,792EURm

Instrument breakdown

One row per ISIN. Filters combine, and the URL carries them — a filtered view is shareable and the CSV export returns the same set.

Export CSV

Filtered to instruments issued by BPER Banca.

111 instruments

IT0005717910BPE EXP UCG/AXA/BNP/ING 60 060829
IT0005718058BPE EXP PROT POSTE ITA/SAN/ING 060831
IT0005717670BPE EXP IBE/TTE/ENI/REP 60 300729
IT0005717993BPE EP CP UNICREDIT/AXA/BNP 060829
IT0005718512BPE EP CP EURIBOR 3M 040828
IT0005709875BPE EP CP EURO STOXX BANKS & INSU 260631
IT0005709883BPE EP CP UNICREDIT 260631
IT0005709925BPE EXP ISP/G/ENI/ENEL 60 260629
IT0005710261BPE EXP INTESA/ENI/SNAM/SAIPEM 60 260629
IT0005707721BPE EXP ISP/G/ENI/ENEL 60 110629
IT0005707739BPE EXP BMW/ENGIE/UCG/IBE 60 110629
IT0005710238EMII FLOAT 22/07/31
IT0005710469EMII 6.200 Perp '31 FRN
IT0005700551BPE EP EURIBOR 3M 240429
IT0005700569BPE EP G/ISP/BPM 240429
IT0005694655BPE EP TTLEN/EON/ENEL 270331
IT0005695520BPE EP ISP/AXA/G 270331
IT0005675878BperBanca FRN 28 10 2032
IT0005675951BperBanca 1 5% 28 01 2032
IT0005676249EMII 5.875 Perp '31 FRN
IT0005671885BPE EP CP ENEL/MPS/POSTE IT 071130
IT0005664658BPE EP CP ENI/INTESA SANPAOLO/UNI 300930
IT0005667131BPE EP CP STOXX Global Select Div 300930
IT0005659419BPE EP CP EURIBOR 3M 080828
IT0005659427BPE EP CP SNAM/ENEL/ENI 080828
IT0005659757BPE EP ENI 080828
IT0005659765BPE EP CP ENEL 080828
IT0005656654BPER BANCA 2,90% 11/01/29
IT0005651218BPE EP CP ENI 190630
IT0005651226BPE EP CP STOXX Europe 600 Oil & 190630
IT0005651739BPER BANCA 2,90% 17/06/28
IT0005650871BperBanca 1% 28 07 2029
IT0005651382BPSOIM 2 3/4 05/21/30
IT0005641763BPER FX 3.071%MAR30 EST COV EUR
IT0005491268BPEIM 5 03/30/52 BOND
IT0005634784BPE EP CP Eurostoxx Utili 401.57 120330
IT0005630873BPER BANCA 3,40% 24/01/30
IT0005499063BPEIM 5 12/20/32 BOND
IT0005630147BperBanca 3 625% 15 01 2031
IT0005623555BPER BANCA 3,60% 27/01/30
IT0005615403BPE EP CP EUROSTOXX SELDIV 30/EUR 151129
IT0005615411BPE EP CP Intesa Sanpaolo 3.905 151129
IT0005620841BperBanca 1% 28 01 2030
IT0005620858BperBanca FRN 28 01 2031
IT0005622409EMII 6.500 Perp '30 FRN
IT0005611006BPER BANCA 3,85% 20/09/29
IT0005611147BperBanca 1% 27 10 2028
IT0005611048BperBanca 2 875% 22 07 2029
IT0005597346BPE EP CP EURO STOXX Bank 138.28 200629
IT0005598187BperBanca FRN 28 10 2028