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The document provides details on securities available from various major banks, including bonds, medium term notes (MTNs), and other financial instruments. It lists 30 securities from banks like Bank of America, Barclays, BNP Paribas, Citigroup, Deutsche Bank, HSBC, JP Morgan Chase, and others. For each security, it provides the ISIN number, issuing bank, maturity date, amount issued, currency and coupon rate, credit rating, current price, fee percentage, instrument type and recent trading price.

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0% found this document useful (0 votes)
1K views3 pages

Isin

The document provides details on securities available from various major banks, including bonds, medium term notes (MTNs), and other financial instruments. It lists 30 securities from banks like Bank of America, Barclays, BNP Paribas, Citigroup, Deutsche Bank, HSBC, JP Morgan Chase, and others. For each security, it provides the ISIN number, issuing bank, maturity date, amount issued, currency and coupon rate, credit rating, current price, fee percentage, instrument type and recent trading price.

Uploaded by

LCR FINANCE PLC
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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DASHBOARD DETAILS – NUMBER OF SECURITIES (MTN-BOND-SBLC-BG) AVAILABLE

FRAMEWORK
ISIN ISSUING BANK MATURITY AMOUNT $/€ COUPON RATE PRICE FEE TYPE TRADED
XS1385037558 ABN AMRO BANK N.V. 04/08/2031 300,000,000 USD 5.60% Baa2 66.50% 2% BOND/BG/SBLC 116.34%
US05964HAE53 BANCO SANTANDER S.A. 23/02/2023 1,000,000,000 USD 3.13% Baa1 75.55% 2% BOND/BG/SBLC 103.90%
US05964HAF29 BANCO SANTANDER S.A. 23/02/2028 1,000,000,000 USD 3.80% Baa1 50.80% 2% BOND/BG/SBLC 111.44%
US06051GFH74 BANK OF AMERICA CORP. 26/08/2024 3.000.000.000 USD 4.20% Baa1 76.70% 2% MTN 109.22%
US06051GEU94 BANK OF AMERICA CORP. 11/01/2023 4.250.000.000 USD 3.30% A2 69.70% 2% MTN 104.13%
US638585BF51 BANK OF AMERICA CORP. 15/03/2028 400.000.000 USD 6.80% Baa1 69.00% 2% BOND/BG/SBLC 123.80%
USJ0423YBX16 BK OF TOKYO/MITSUBISHI 09/08/2024 1,000,000,000 USD 3.25% A1 53.90% 2% BOND/BG/SBLC 107.45%
US06738EAE59 BARCLAYS BANK PLC 16/03/2025 2.000.000.000 USD 3.65% Baa2 69.50% 2% BOND/BG/SBLC 108.39%
US06739FHK03 BARCLAYS BANK PLC 10/04/2023 1.000.000.000 USD 7.75% NR 54.50% 2% BOND/BG/SBLC 101.10%
US06738EAC93 BARCLAYS BANK PLC 11/09/2024 1.250.000.000 USD 4.375% Baa3 51.20% 2% BOND/BG/SBLC 98.14%
US06739FHV67 BARCLAYS BANK PLC 15/05/2024 2.250.000.000 USD 3.75% A1 59.30% 2% BOND/BG/SBLC 101.76%
XS1678970291 BARCLAYS BANK PLC 07/02/2028 1,500,000,000 EUR 2.00% A1 62.80% 2% MTN 102.56%
US09659X2G64 BNP PARIBAS S.A. 10/01/2025 1,700,000,000 USD 4.70% Baa1 71.00% 2% MTN 109.00%
US09659X2F81 BNP PARIBAS S.A. 14/08/2028 2,000,000,000 USD 4.40% Baa1 62.00% 2% MTN 115.92%
XS1939253917 BNP PARIBAS S.A. 23/01/2026 1,000,000,000 GBP 3.375% Baa1 70.50% 2% MTN 109.39%
US05574LFY92 BNP PARIBAS (NY Branch) 03/03/2023 1.000.000.000 USD 3.25% Aa3 64.50% 2% MTN 106.86%
US09659X2C50 BNP PARIBAS S.A. 16/11/2027 1,500,000,000 USD 3.50% Aa3 70.50% 2% MTN 109.57%
XS0637847889 BNP PARIBAS S.A. 22/06/2031 100,000,000 USD 5.50% Aa3 69.00% 2% MTN 100.00
US05578UAA25 BPCE SA 22/10/2023 1.500.000.000 USD 5.70% Baa2 58.00% 2% MTN 110.46%
US05584KAC27 BPCE SA 23/10/2027 1,250,000,000 USD 3.50% Baa3 46.50% 2% MTN 108.76%
US14040HBT14 Capital One Financial Corp. 30/10/2024 1,500,000,000 USD 3.30% Baa1 54.30% 2% BOND/BG/SBLC 107.69%
US172967GT25 CITIGROUP INC 15/05/2023 1.250.000.000 USD 3.50% Baa2 58.60% 2% BOND/BG/SBLC 105.10%
US172967BU43 CITIGROUP INC 22/02/2033 1.000.000.000 USD 5.875% Baa3 48.00% 2% BOND/BG/SBLC 112.34%
US172967EW71 CITIGROUP INC 15/07/2039 2,500,000,000 USD 8.125% A2 80.30% 2% BOND/BG/SBLC 146.15%
US172967AR23 CITIGROUP INC. 15/01/2028 300,000,000 USD 6.62% A2 58.50% 2% BOND/BG/SBLC 117.00%
US172967HD63 CITIGROUP INC 25/10/2023 2.000.000.000 USD 3.875% A3 67.70% 2% BOND/BG/SBLC 107.59%
US172967LS86 CITIGROUP INC 27/10/2028 2,250,000,000 USD 3.52% A3 48.50% 2% BOND/BG/SBLC 109.98%
XS1342647564 COMMERZBANK AG 12/01/2028 400,000,000 USD 6.00% Baa3 49.75% 2% BOND/BG/SBLC 109.76%
DE000CZ40LD5 COMMERZBANK AG 23/03/2026 1.000.000.000 EUR 4.00% Baa3 68.51% 2% MTN 111.56%
US20259DAA54 COMMERZBANK AG 19/09/2023 1.000.000.000 USD 8.125% Baa1 43.50% 2% MTN 113.22%
XS0953564191 CREDIT AGRICOLE, LDN 17/07/2023 1.660.000.000 EUR 3.13% Aa3 70.70% 2% MTN 110.89%
XS0972523947 CREDIT SUISSE AG 18/09/2025 1,250,000,000 EUR 5.75% NR 57.50% 2% BOND/BG/SBLC 100.00%
ISIN ISSUING BANK MATURITY AMOUNT $/€ COUPON RATE PRICE FEE TYPE TRADED
USH3698DAQ72 CREDIT SUISSE GROUP AG 09/01/2023 1,750,000,000 USD 3.57% Baa1 72.50% 2% BOND/BG/SBLC 101.42%
USH3698DBS20 CREDIT SUISSE GROUP AG 12/06/2024 1,250,000,000 USD 4.207% Baa1 52.60% 2% MTN 106.07%
US225433AT80 CREDIT SUISSE GROUP AG 09/06/2023 1,995,737,000 USD 3.80% Baa2 49.50% 2% BOND/BG/SBLC 105.69%
US225433AR25 CREDIT SUISSE (GUERNSEY) 17/04/2026 1,982,535,000 USD 4.55% Baa1 49.50% 2% BOND/BG/SBLC 113.35%
US25152RXA66 DEUTSCHE BANK AG LDN 30/05/2024 1,600,000,000 USD 3.70% Baa3 71.00% 2% MTN 107.06%
US25152R2Y86 DEUTSCHE BANK AG 13/01/2026 750,000,000 USD 4.10% Baa3 71.00% 2% MTN 100.30%
US251525AP63 DEUTSCHE BANK AG 01/04/2025 1,500,000,000 USD 4.50% Ba2 76.00% 2% NOTE 107.94%
XS0085727559 EIB EUR. INV. BANK 07/12/2028 3,700,000,000 GBP 6.00% Aaa 73.00% 2% EURO BOND 137.07%
XS0174470764 HSBC HOLDINGS PLC 22/08/2033 500,000,000 GBP 5.38% A2 80.43% 2% MTN 138.38%
US404280AF65 HSBC HOLDINGS PLC 17/05/2032 483,613,000 USD 7.625% A2 68.00% 2% BOND/BG/SBLC 138.25%
US597433AC57 HSBC BANK PLC 01/05/2025 300,000,000 USD 7.65% A2 53.00% 2% BOND/BG/SBLC 121.95%
US404280AP48 HSBC HOLDINGS PLC 14/03/2024 2,000,000,000 USD 4.25% A2 71.00% 2% BOND/BG/SBLC 108.07%
US404280AW98 HSBC HOLDINGS PLC 08/03/2026 3,000,000,000 USD 4.30% A2 68.30% 2% BOND/BG/SBLC 113.06%
XS0995102778 ING BANK N.V. 21/11/2023 2.058.294.000 EUR 4.13% WR 65.50% 2% MTN 101.45%
US46625HJH49 JP MORGAN CHASE & CO. 25/01/2023 2.750.000.000 USD 3.20% A2 51.20% 2% MTN 104.25%
US46625HJY71 JP MORGAN CHASE & CO. 10/09/2024 3.000.000.000 USD 3.875% A3 53.60% 2% BOND/BG/SBLC 108.72%
US539439AQ24 LLOYDS BANKING GROUP 07/11/2028 1,750,000,000 USD 3.574% A3 48.50% 2% BOND/BG/SBLC 109.56%
US539439AM10 LLOYDS BANKING GROUP 10/12/2025 1,327,685,000 USD 4.582% A3 69.50% 2% BOND/BG/SBLC 111.23%
XS0365909125 MERRILL LYNCH & CO. INC. 02/06/2028 375,000,000 GBP 8.125% A3 62.00% 2% MTN 135.59%
US6174467X10 MORGAN STANLEY 24/11/2025 2.000.000.000 USD 5.00% Baa1 79.60% 2% MTN 115.13%
US61746BDJ26 MORGAN STANLEY 25/02/2023 2.500.000.000 USD 3.75% A1 80.50% 2% MTN 105.22%
US61747YDU64 MORGAN STANLEY 22/05/2023 2,000,000,000 USD 4.10% Baa1 76.50% 2% MTN 106.27%
US61761JVL06 MORGAN STANLEY 23/10/2024 3.000.000.000 USD 3.70% A1 47.50% 2% MTN 109.06%
US780097AZ42 NATWEST GROUP PLC 19/12/2023 2,000,000,000 USD 6.00% Ba2 53.50% 2% BOND/BG/SBLC 100.38%
US780099CH81 NATWEST GROUP PLC 28/05/2024 2.250.000.000 USD 5.125% Baa3 49.30% 2% BOND/BG/SBLC 111.03%
XS1592433038 RABOBANK U.A 10/04/2029 500,000,000 USD 4.00% A3 55.67% 2% MTN 102.30%
US86562MAC47 SUMITOMO BANK 09/03/2026 1,500,000,000 USD 3.784 % A1 70.50% 2% BOND 111.64%
XS0983704718 STAN. CHART. BANK PLC 21/10/2025 1.250.000.000 EUR 4.00% WR 79.40% 2% MTN 106.37%
XS0969864916 STANDARD CHT.BK.HK 26/01/2024 1,000,00,000 USD 5.20% A2 59.50% 2% BOND/BG/SBLC 110.57%
CH0244100266 UBS AG London 15/05/2024 2.500.000.000 USD 5.13% NR 80.50% 2% BOND/BG/SBLC 109.66%
CH0214139930 UBS AG London 22/05/2023 1.500.000.000 USD 4.75% WR 72.50% 2% MTN 104.50%
US94974BFN55 WELLS FARGO & COMPANY 15/08/2023 1.500.000.000 USD 4.125% A3 86.20% 2% MTN 107.26%
US949746RE36 WELLS FARGO & COMPANY 16/01/2024 723.000.000 USD 4.48% A3 81.50% 2% BOND/BG/SBLC 109.22%
ISIN ISSUING BANK MATURITY AMOUNT $/€ COUPON RATE PRICE FEE TYPE TRADED
US94974BFJ44 WELLS FARGO & COMPANY 13/02/2023 2.000.000.000 USD 3.45% A3 68.50% 2% MTN 104.40
US94974BGP94 WELLS FARGO & COMPANY 29/09/2025 2.500.000.000 USD 3.55% A2 73.50% 2% MTN 110.12%
XS1506398244 WESTPAC BANKING CORP 17/04/2027 500,000,000 EUR 8.75% Aa3 76.75% 2% MTN 105.34%
XS1558450745 WESTPAC BANKING CORP 05/02/2025 250,000,000 GBP 2.125% Aa3 69.20% 2% MTN 102.74%

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