Price (USD)
- -% (-)
BN89SECS 01/12/26
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Open / Last close
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High / Low
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Bid / Offer
- / -
Maturity Date
01.12.26
As at 20.05.22 09:17:00 - All data delayed at least 15 minutes
562 more instruments

BARCLAYS BANK PLC instruments

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Bonds (554)
Code Instrument name Price Maturity Type Documentation
BN89SECS 01/12/26-
USD
01.12.26Bonds-
03PSSUBORD FLTG RTE NTS 28/12/40-
EUR
28.12.40Bonds-
06GGUND FLTG RTE PRIM CAP NTS'2'USD-
USD
-Bonds-
06GH9% PERM INT BRG CAP BDS #(VAR)(BR)109.75
GBP
-Bonds-
07GH9% PERM INT BRG CAP BDS #1113.00
GBP
-Bonds-
09GGUND FLTG RTE PRIM CAP NTS USD(VAR)-
USD
-Bonds-
10BQCALL ZERO CPN NTS 13/07/2041-
USD
13.07.41Bonds-
10DJFLTG RTE NTS 21/07/2023-
EUR
21.07.23Bonds-
Others (9)
Code Instrument name Price Change Type Documentation
36TKCERT IDX LKD PEN DUICK ABS RTN FD-
GBP
-Others-
51DBOPEN-ENDED IDX LKD CERTS-
USD
-Others-
51JU4.00% SEC 02/07/29-
USD
-Others-
54UJCERTS LKD TO BARCLAYS INT. CARRY IDX-
EUR
-Others-
55NOZERO CPN NTS 15/03/38-
GBP
-Others-
78IPWT LKD SECS 01/12/25-
GBP
-Others-
92CLFND LKD CERTS-
EUR
-Others-
92CMFND LKD CERTS-
EUR
-Others-

Company Index / Market info

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FTSE Index
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Instrument market cap
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Listing / Admission to trading
06 June 1989
Market
Main Market
Listing category
Standard Securitised Derivatives
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