Еврооблигации: Bank of Ireland, 0.375% 10may2027, EUR (736) (FIGI RegS BBG00ZHY5012, XS2311407352, WKN A3KM1M)
Переменная ставка, Green bonds, Senior Unsecured
Переменная ставка, Green bonds, Senior Unsecured
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The Governor and Company of the Bank of Ireland provides a range of banking and other financial services to consumer and business banking sectors in Ireland and internationally. Its deposit products include current accounts, interest bearing ...
The Governor and Company of the Bank of Ireland provides a range of banking and other financial services to consumer and business banking sectors in Ireland and internationally. Its deposit products include current accounts, interest bearing and non-interest bearing accounts, demand and time deposits, and certificates of deposit. The company’s loan products portfolio comprises loans to customers, including overdrafts; installment credit and finance lease receivables; mortgage loans for house purchases; home improvement and secured personal loans; credit cards; property and construction, business, and other services loans; and term loans, project and structured finance, international asset financing, leasing, installment credit, and invoice discounting. It also offers foreign exchange, interest and exchange rate hedging instruments, executor, trustee, life assurance, pension and financial advisory, online and mobile banking, and ATM services. The company operates through a network of 251 full time service branches and 1,266 ATMs. The Governor and Company of the Bank of Ireland was founded in 1783 and is headquartered in Dublin, Ireland.
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Откройте глобальную базу данных
1 000 000
облигаций
80 234
акций
175 659
ETF & Funds
80 000
индексов
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Облигации Bank of Ireland серии 736 (ISIN XS2311407352, FIGI BBG00ZHY5012) — Bank of Ireland, 0.375% 10may2027, EUR (736) выпуск компании «The Governor and Company of the Bank of Ireland» объёмом 750 000 000,00 EUR в обращении на внебиржевом рынке. Выпуск имеет номинал 100 000 EUR и торгуется как самостоятельный долговой инструмент.
Дата размещения — эмиссия прошла на внебиржевом рынке в формате *** через ***. Погашение запланировано на *** и предусмотрено условиями выпуска без амортизации номинала по графику.
По выпуску Bank of Ireland установлена плавающая ставка. Базовая ставка — ***, маржа на уровне — ***.
Купоны выплачиваются ***, дата ближайшей выплаты — . Всего по выпуску предусмотрено 7 купонных периодов, из них выплачено — 0, осталось — 7.
Эмитент — The Governor and Company of the Bank of Ireland/Ирландия/Корпоративный, с рейтингом отMoody's Investors Service(22.04.2026),Moody's Investors Service(22.04.2026),S&P Global Ratings(26.03.2026),S&P Global Ratings(26.03.2026),Fitch Ratings(11.06.2026),DBRS Limited(18.12.2025),DBRS Limited(18.12.2025),DBRS Limited(18.12.2025)
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