Issuance Programmes
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Issuance Programmes & Supplements
- AIB Mortgage Bank €20bn Mortgage Covered Securities Programme Base Prospectus 8th July 2016
- Allied Irish Banks, p.l.c. €10bn EMTN, Programme, 09 June 2016
- Allied Irish Banks plc. €5bn ECP Programme - 16 March 2016
- Allied Irish Banks, p.l.c. €500m Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities, 1 December 2015
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Outstanding Issues Senior Unsecured
ISIN Code Issuer Coupon % Maturity Date Currency Amount Outstanding Final Terms XS1057481084 ALLIED IRISH BANK LTD 2.750 16/04/2019 EUR 500m *link to pdf XS1202664386 ALLIED IRISH BANK LTD 1.375 16/03/2020 EUR 500m *link to pdf -
Outstanding Issues Asset Covered Securities
ISIN Code Issuer Coupon % Maturity Date Currency Amount Outstanding Final Terms XS0969616779 ALLIED IRISH BANK 3.125 10/09/2018 EUR 500m *link to pdf XS1265810686 ALLIED IRISH BANK 0.625 27/07/2020 EUR 750m *link to pdf XS1048644907 ALLIED IRISH BANK 2.250 26/03/2021 EUR 500m *link to pdf XS1179936551 ALLIED IRISH BANK 0.625 03/02/2022 EUR 750m *link to pdf XS1357663050 ALLIED IRISH BANK 0.875 04/02/2023 EUR 1,000m *link to pdf -
Outstanding Tier 2
ISIN Code Issuer Coupon % Maturity Date First Call Date Amount Outstanding Final Terms XS1325125158 ALLIED IRISH BANKS PLC 4.125 26/11/2025 10NC5 - 26Nov20 EUR 750m *link to pdf -
Outstanding Additional Tier 1
ISIN Code Issuer Coupon % Maturity Date First Call Date Amount Outstanding Final Terms XS1328798779 ALLIED IRISH BANKS PLC 7.375 Perpetual PNC5 - 03Dec20 EUR 500m *link to pdf