Price (GBP)
- -% (-)
YT12SECS 02/03/2027
Track 1234 more instruments
Open / Last close
- / -
High / Low
- / -
Bid / Offer
- / -
Maturity Date
02.03.27
As at 18.08.25 20:31:09 BST - All data delayed at least 15 minutes
1234 more instruments

BARCLAYS BANK PLC instruments

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Bonds (1225)

Programmes

GBP 15bn Debt Issuance Programme- -

Bond securities

Code Instrument name Price Maturity Type Documentation
YT12 SECS 02/03/2027 -
GBP
02.03.27 Bonds -
03PS SUBORD FLTG RTE NTS 28/12/40 69.70
EUR
28.12.40 Bonds -
10BQ CALL ZERO CPN NTS 13/07/2041 -
USD
13.07.41 Bonds -
10FA CAP CMS FLTG RTE NTS 22/07/2026 -
EUR
22.07.26 Bonds -
10RT 4.70% FLTG RTE NTS 08/09/31 -
EUR
08.09.31 Bonds -
11AZ SEC 06/06/28 -
GBP
06.06.28 Bonds -
11GU ZRO CPN SEC 05/07/43 -
USD
05.07.43 Bonds -
11JC CALL ZERO CPN NTS 08/02/32 -
AUD
08.02.32 Bonds -
Others (10)

Programmes

GBP 15bn Debt Issuance Programme- -

Bond securities

Code Instrument name Price Change Type Documentation
15QK CALL ZRO CPN NTS 08/05/33 43.50
AUD
- Others -
36TK CERT IDX LKD PEN DUICK ABS RTN FD -
GBP
- Others -
51DB OPEN-ENDED IDX LKD CERTS -
USD
- Others -
51JU 4.00% SEC 02/07/29 -
USD
- Others -
54UJ CERTS LKD TO BARCLAYS INT. CARRY IDX -
EUR
- Others -
55NO ZERO CPN NTS 15/03/38 -
GBP
- Others -
78IP WT LKD SECS 01/12/25 -
GBP
- Others -
92CL FND LKD CERTS -
EUR
- Others -

Company Index / Market info

What's this?
FTSE Index
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Instrument market cap (£m)
-
Listing / Admission to trading
06 June 1989
Market
Main Market
Listing category
Securitised derivatives
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For instruments denominated in GBX, the Trade Value is in GBP when the traded currency is GBX or GBP. When the traded price is any other currency then the Trade Value is displayed in that currency. Some trades qualify for deferred publication due to the type or size of the transaction. These will be displayed at the point of publication, but show the date/time of execution as with other trades.