Banking bonds

Banking bonds

Bid yield
Nr. of proposals (bid)
Bid quantity
Bid price
Ask price
Ask quantity
Nr. of proposals (ask)
Ask yield
Var %
Data sheet
DE000A1HG1K6 ALLIANZ FIN 3,00% 13/03/2028 13/03/2028 EUR Fixed rate 1Y 3.00 2.542 1 100,000 100.97 101.64 100,000 1 2.233
XS2545425980 B.MEDIOLANUM TM GREEN 22/1/27CAL 22/01/2027 EUR Mixed Rate 1Y 5.04 5.202 1 100,000 99.91 100.55 100,000 1 4.574
XS2411537033 B.POP SONDRIO TM 25/02/32 SUBCAL 25/02/2032 EUR Mixed Rate 1Y 3.88 3.781 1 100,000 100.5 101.25 100,000 1 3.644
XS2577518488 BANCA IFIS 6,125% 19/01/2027 19/01/2027 EUR Fixed rate 1Y 6.13 2.682 1 100,000 103.601 103.999 100,000 1 2.317
IT0005561367 BANCA IFIS 6,875% 13/09/2028 13/09/2028 EUR Fixed rate 1Y 6.88 3.065 1 100,000 109.801 110.7 100,000 1 2.741
XS1700435453 BANCA IFIS TM 17/10/27 SUB CALL 17/10/2027 EUR Mixed Rate 1Y 3.924 1 100,000 105.935 107.673 100,000 1 2.975
XS2577572188 BANCO BPM GREEN 4,875% 18/01/27 18/01/2027 EUR Fixed rate 1Y 4.88 2.697 1 100,000 102.271 102.899 100,000 1 2.113
XS2530053789 BANCO BPM GREEN 6,00% 13/09/26 13/09/2026 EUR Fixed rate 1Y 6.00 2.849 1 300,000 102.217 103.248 150,000 1 1.472
XS2558591967 BANCO BPM GREEN TM 21/01/28 CALL 21/01/2028 EUR Mixed Rate 1Y 6.00 4.675 1 150,000 102.656 104.577 150,000 1 3.710
XS2365097455 BANCO BPM SOCIAL 0,875% 15/07/26 15/07/2026 EUR Fixed rate 1Y 0.88 2.779 1 200,000 98.941 99.539 200,000 1 1.697
XS2271367315 BANCO BPM TM 14/01/31 SUB CALL 14/01/2031 EUR Mixed Rate 1Y 3.25 3.590 1 100,000 98.45 101.15 100,000 1 3.001
IT0005586729 BANCO BPM TM 18/06/2034 SUB CALL 18/06/2034 EUR Mixed Rate 1Y 5.00 4.528 1 200,000 103.24 105.5 200,000 1 4.212
XS2434421413 BANCO BPM TM 19/1/32 SUB CALL 19/01/2032 EUR Mixed Rate 1Y 3.38 3.460 1 200,000 99.536 101.849 200,000 1 3.037
IT0005623837 BANCO BPM TM 26/11/36 SUB CALL 26/11/2036 EUR Mixed Rate 1Y 4.50 2.356 1 200,000 102.16 104.42 200,000 1 2.111
XS2358835036 BANCO BPM TM 29/06/2031 SUB CALL 29/06/2031 EUR Mixed Rate 1Y 2.88 3.071 1 100,000 99.01 100.599 100,000 1 2.755
IT0005549479 BANCO BPM TM GREEN 14/6/28 CALL 14/06/2028 EUR Mixed Rate 1Y 6.00 4.380 1 150,000 103.79 105.707 150,000 1 3.575
XS2363719050 BCA POP SONDRIO TM 13/07/27 CALL 13/07/2027 EUR Mixed Rate 1Y 1.25 0.962 1 100,000 99.21 99.35 100,000 1 0.870
XS2013745703 BCO BILBAO GREEN 1,00% 21/06/26 21/06/2026 EUR Fixed rate 1Y 1.00 3.410 1 100,000 98.81 100.15 100,000 1 0.695
XS2625968693 BMW FIN 3,25% 22/11/2026 22/11/2026 EUR Fixed rate 1Y 3.25 2.334 1 50,000 100.82 100.89 50,000 1 2.257
XS2625968347 BMW FINANCE 3,25% 22/07/2030 22/07/2030 EUR Fixed rate 1Y 3.25 3.063 1 100,000 100.775 103.33 100,000 1 2.470
XS2625968776 BMW FINANCE 3,625% 22/05/2035 22/05/2035 EUR Fixed rate 1Y 3.63 3.796 1 50,000 98.65 101.14 50,000 1 3.479
XS2695047659 BP SONDRIO TM GREEN 26/09/28 CAL 26/09/2028 EUR Mixed Rate 1Y 5.50
IT0005523896 BPER BANCA TM 01/02/28 CALL 01/02/2028 EUR Mixed Rate 1Y 6.13 4.704 1 150,000 102.879 105.031 150,000 1 3.641
IT0005561243 BPER BANCA TM 11/09/2029 CALL 11/09/2029 EUR Mixed Rate 1Y 5.75 3.736 1 150,000 106.75 107.499 150,000 1 3.529
XS2534908889 BPER BANCA TM 20/01/33 SUB CALL 20/01/2033 EUR Mixed Rate 1Y 8.63 6.828 1 200,000 109.81 111.09 200,000 1 6.610
XS2433828071 BPER BANCA TM 25/07/32 SUB CALL 25/07/2032 EUR Mixed Rate 1Y 3.88 3.779 1 200,000 100.5 101.25 200,000 1 3.649
IT0005583460 BPER BANCA TM GREEN 20/2/30 CALL 20/02/2030 EUR Mixed Rate 1Y 4.25 3.528 1 100,000 102.74 104.69 100,000 1 3.032
XS2325743990 BPER SOCIAL BOND TM 31/3/27 CALL 31/03/2027 EUR Mixed Rate 1Y 1.38 1.774 1 100,000 99.501 99.749 100,000 1 1.574
XS2585964476 CASSA CENTRALE TM 16/02/27 CALL 16/02/2027 EUR Mixed Rate 1Y 5.89 5.846 1 100,000 100.14 100.81 100,000 1 5.224
IT0005603284 CASSA DDP 3,875% 12/07/2031 12/07/2031 EUR Fixed rate 1Y 3.88 3.292 1 100,000 102.9 104.15 100,000 1 3.049
IT0005568719 CASSA DDPP TM 04/12/2029 04/12/2029 EUR Mixed Rate 3M 5.00 4.226 2 600,000 102.8 102.86 77,000 1 4.210 -0.01
IT0005374043 CASSA DDPP TM 28/06/2026 28/06/2026 EUR Mixed Rate 3M 3.92 2.306 1 500,000 100.83 101.54 100,000 1 0.930
XS1457608286 CITIGROUP 1,50% 26/10/2028 CALL 26/10/2028 EUR Fixed rate 1Y 1.50 2.792 1 200,000 96.511 98.092 100,000 1 2.199
XS1107727007 CITIGROUP 2,125% 10/09/2026 10/09/2026 EUR Fixed rate 1Y 2.13 2.705 1 100,000 99.58 100.2 100,000 1 1.832
DE000CZ40LD5 COMMERZBANK 4,00% 23/03/26 SUB 23/03/2026 EUR Fixed rate 1Y 4.00 3.099 1 50,000 100.2 101.05 50,000 1 -0.203
DE000CZ40LW5 COMMERZBANK 4,00% 30/03/27 SUB 30/03/2027 EUR Fixed rate 1Y 4.00 2.692 1 50,000 101.6 102.89 1,000 1 1.673
XS1538284230 CR. AGRICOLE 1,875% 20/12/26 20/12/2026 EUR Fixed rate 1Y 1.88 2.493 1 100,000 99.4 99.76 100,000 1 2.121
XS1204154410 CR. AGRICOLE 2,625% 17/03/27 SUB 17/03/2027 EUR Fixed rate 1Y 2.63 2.753 1 100,000 99.84 100.32 100,000 1 2.354
XS2606341787 CREDEM GREEN TM 30/05/2029 CALL 30/05/2029 EUR Mixed Rate 1Y 5.63 3.743 1 150,000 106.001 106.422 150,000 1 3.615
DE000DL19WL7 DB TM GREEN 23/02/2028 CALL 23/02/2028 EUR Mixed Rate 1Y 1.88 2.552 1 100,000 98.6 99.6 100,000 1 2.070
XS0076085603 DB ZC 27/05/2027 ZAR 27/05/2027 ZAR Zero Coupon - 9.587 1 1,000,000 87.75 91.5 1,000,000 1 6.421
XS2558395351 ENBW FIN GREN 3,625% 22/11/26CAL 22/11/2026 EUR Fixed rate 1Y 3.63 3.470 1 1,000 100.13 102.11 1,000 1 1.302
XS1750986744 ENEL FIN GREN 1,125% 16/9/26 CAL 16/09/2026 EUR Fixed rate 1Y 1.13 3.681 1 200,000 98.165 99.991 200,000 1 1.134
XS2066706909 ENEL FIN SUST 0,375% 17/6/27 CAL 17/06/2027 EUR Fixed rate 1Y 0.38 3.424 1 200,000 95.656 97.817 200,000 1 1.879
XS2066706735 ENEL FIN SUST 1,125% 17/10/34CAL 17/10/2034 EUR Fixed rate 1Y 1.13 3.928 1 100,000 79.44 81.62 100,000 1 3.593
XS2531420656 ENEL FIN SUST 3,875% 9/3/29 CALL 09/03/2029 EUR Fixed rate 1Y 3.88 2.854 1 200,000 103.081 103.299 200,000 1 2.784
XS2398807383 FINECOBANK TM 21/10/27 CALL 21/10/2027 EUR Mixed Rate 1Y 0.50 1.665 1 100,000 97.92 98.57 100,000 1 1.297
XS2590759986 FINECOBANK TM 23/02/29 CALL 23/02/2029 EUR Mixed Rate 1Y 4.63 3.542 1 100,000 103.24 104.09 100,000 1 3.261
IT0005665507 FIRST CAPITAL 5,75% 6/02/29 CALL 06/02/2029 EUR Fixed rate 1Y 5.75 5.176 1 100,000 101.61 103 100,000 1 4.693 PDF
XS1941841311 GENERALI 3,875% 29/01/2029 SUB 29/01/2029 EUR Fixed rate 1Y 3.88 3.007 1 100,000 102.531 103.249 100,000 1 2.767