Investors
Investors
IDB Finance

LIST OF SELECTED RECENT IDB BONDS

ISIN Code Currency Amount Coupon Maturity Date Sort ascending Launch Date Final Terms
AU3CB0229227 AUD 35,000,000 2.750% 2025-10-30 2015-09-09
AU3CB0229227 AUD 100,000,000 2.750% 2025-10-30 2019-11-19
AU3CB0229227 AUD 30,000,000 2.750% 2025-10-30 2016-03-31
AU3CB0229227 AUD 500,000,000 2.750% 2025-10-30 2019-07-22
AU3CB0229227 AUD 200,000,000 2.750% 2025-10-30 2015-04-21
AU3CB0229227 AUD 25,000,000 2.750% 2025-10-30 2015-10-06
AU3CB0229227 AUD 55,000,000 2.750% 2025-10-30 2016-01-28
CA458182EE85 CAD 600,000,000 0.750% 2025-10-15 2020-09-14
CA458182EE85 CAD 400,000,000 0.750% 2025-10-15 2020-10-15
US4581X0EA22 USD 100,000,000 SOFR 2025-10-15 2021-10-15
US45818WDP86 USD 125,000,000 3.03% 2025-08-01 2022-05-02
US4581X0DN51 USD 4,000,000,000 0.625% 2025-07-15 2020-06-16
US4581X0DL95 USD 2,000,000,000 0.875% 2025-04-03 2020-04-03
US4581X0DK13 USD 3,000,000,000 1.750% 2025-03-14 2020-01-16
XS2591020651 CRC 4,150,000,000 7.9% 2025-03-02 2023-03-21
XS2591020651 CRC 6,850,000,000 7.9% 2025-03-02 2023-03-02
US4581X0DR65 USD 100,000,000 SOFR 2025-02-04 2021-02-17
US4581X0DR65 USD 500,000,000 SOFR 2025-02-04 2020-11-04
US4581X0DR65 USD 100,000,000 SOFR 2025-02-04 2021-03-03
US4581X0DR65 USD 200,000,000 SOFR 2025-02-04 2021-02-04
US4581X0DR65 USD 100,000,000 SOFR 2025-02-04 2021-02-24
US4581X0CM87 USD 200,000,000 2.125% 2025-01-15 2019-11-14
US4581X0CM87 USD 50,000,000 2.125% 2025-01-15 2020-04-06
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2020-05-07
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2020-08-11
US4581X0CM87 USD 150,000,000 2.125% 2025-01-15 2016-04-11
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2016-04-15
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2019-10-08
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2020-04-09
US4581X0CM87 USD 250,000,000 2.125% 2025-01-15 2016-03-03
US4581X0CM87 USD 2,000,000,000 2.125% 2025-01-15 2015-01-07
US4581X0CM87 USD 200,000,000 2.125% 2025-01-15 2019-07-29
US4581X0CM87 USD 100,000,000 2.125% 2025-01-15 2016-03-21
XS1873152638 GBP 100,000,000 1.375% 2024-12-15 2019-03-12
XS1873152638 GBP 250,000,000 1.375% 2024-12-15 2018-09-07
XS1873152638 GBP 500,000,000 1.375% 2024-12-15 2020-01-17
XS1873152638 GBP 100,000,000 1.375% 2024-12-15 2019-10-29
XS1873152638 GBP 150,000,000 1.375% 2024-12-15 2019-04-03
XS1873152638 GBP 225,000,000 1.375% 2024-12-15 2019-09-30
XS1873152638 GBP 75,000,000 1.375% 2024-12-15 2021-12-03