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Investors
IDB Finance

LIST OF SELECTED RECENT IDB BONDS

ISIN Code Currency Amount Coupon Maturity Date Sort descending Launch Date Final Terms
XS1055501032 KRW 10,250,000,000 1.350% 2017-04-16 2014-06-30
XS1055501032 KRW 31,750,000,000 1.350% 2017-04-16 2014-04-02
US45818WAW64 USD 100,000,000 Floating 2017-06-12 2014-08-27
US45818WAW64 USD 200,000,000 Floating 2017-06-12 2014-08-13
US45818WAW64 USD 300,000,000 Floating 2017-06-12 2014-06-17
US4581X0CG10 USD 2,000,000,000 1.000% 2017-07-14 2014-04-23
XS1078781496 IDR 500,000,000,000 7.250% 2017-07-17 2015-02-25
XS1078781496 IDR 450,000,000,000 7.250% 2017-07-17 2014-08-06
XS1078781496 IDR 350,000,000,000 7.250% 2017-07-17 2014-09-18
XS1078781496 IDR 350,000,000,000 7.250% 2017-07-17 2014-07-23
XS1078781496 IDR 750,000,000,000 7.250% 2017-07-17 2014-06-12
XS1078781496 IDR 600,000,000,000 7.250% 2017-07-17 2014-07-02
US4581X0B001 USD 1,750,000,000 2.375% 2017-08-15 2010-08-05
XS1103713654 INR 1,250,000,000 6.000% 2017-09-05 2014-10-08
XS1103713654 INR 2,000,000,000 6.000% 2017-09-05 2014-09-24
XS1103713654 INR 2,500,000,000 6.000% 2017-09-05 2014-08-21
XS1103713654 INR 1,000,000,000 6.000% 2017-09-05 2015-07-16
XS1103713654 INR 1,750,000,000 6.000% 2017-09-05 2015-01-14
AU3CB0199768 AUD 150,000,000 3.500% 2017-09-26 2013-08-30
AU3CB0199768 AUD 150,000,000 3.500% 2017-09-26 2013-02-22
AU3CB0199768 AUD 175,000,000 3.500% 2017-09-26 2013-05-22
AU3CB0199768 AUD 250,000,000 3.500% 2017-09-26 2013-11-07
US45818WAY21 USD 50,000,000 Floating 2017-10-15 2015-05-06
US45818WAY21 USD 100,000,000 Floating 2017-10-15 2015-04-02
US45818WAY21 USD 150,000,000 Floating 2017-10-15 2015-02-13
US45818WAY21 USD 200,000,000 Floating 2017-10-15 2014-10-31
US45818WAY21 USD 100,000,000 Floating 2017-10-15 2015-02-20
US45818WAY2 USD 300,000,000 Floating 2017-10-15 2014-10-09
US45818WAY21 USD 100,000,000 Floating 2017-10-15 2015-03-16
XS1081103258 GBP 250,000,000 1.625% 2017-10-18 2014-06-19
XS1134497996 IDR 900,000,000,000 7.200% 2017-11-14 2014-10-31
NZIDBDT002C7 NZD 100,000,000 6.250% 2017-12-15 2009-07-20
XS0993756807 GBP 100,000,000 1.250% 2017-12-15 2014-03-28
XS0993756807 GBP 100,000,000 1.250% 2017-12-15 2014-10-02
XS0993756807 GBP 250,000,000 1.250% 2017-12-15 2013-11-06
XS0228575337 NZD 10,000,000 6.000% 2017-12-15 2014-11-07
XS0228575337 NZD 50,000,000 6.00% 2017-12-15 2010-07-30
US45818WBG06 USD 500,000,000 Floating 2018-01-16 2015-10-20
US4581X0CL05 USD 500,000,000 1.250% 2018-01-16 2014-10-01
US45818WBG06 USD 100,000,000 Floating 2018-01-16 2015-11-03