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Danske Bank bonds

Complete, always up-to-date list of Danske Bank bonds outstanding: for each bond you get ISIN, coupon type, currency, maturity and trading venue. Danske Bank is a banks issuer based in Denmark; issues may come from the parent company or its financing entities. Data from the official EU register (FIRDS/ESMA), refreshed weekly. This page does not show market prices.

77 bonds outstanding · Parent domicile: Denmark
Matures fromto77 bonds
BondISINTypeCouponCurrencyMaturityExchange
Danske Bk./0.00/ CR000C13 2026DK0030488374Zero coupon0%EUR2026-07-13Euronext Dublin
Danske Bk./0.00/ CR000C1Y 2026,DK0030491329Zero coupon0%EUR2026-08-06Euronext Dublin
DANSKE BANK AS/VARI REGR 20260928FI4000441753Variable rateEUR2026-09-28Euronext Dublin
DANSKE BANK/1.81 MB 20261005 SRCH1296276137Fixed rate1.81%CHF2026-10-05not on a retail exchange
DANSKE BANK AS/VARI REGR 20261011FI4000508403Variable rateEUR2026-10-11Euronext Dublin
DANSKE BANK AS/VARI REGR 20261029FI4000441969Variable rateEUR2026-10-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20261109FI4000512553Variable rateEUR2026-11-09Euronext Dublin
DANSKE BANK AS/VARI REGR 20261120FI4000442348Variable rateEUR2026-11-20Euronext Dublin
DANSKE BANK AS/VARI REGR 20261127FI4000442389Variable rateEUR2026-11-27Euronext Dublin
DANSKE BANK AS/VARI REGR 20261217FI4000513445Variable rateEUR2026-12-17Euronext Dublin
DANSKE BANK AS/VARI REGR 20261222FI4000466305Variable rateEUR2026-12-22Euronext Dublin
DANSKE BANK AS/VARI REGR 20261228FI4000456108Variable rateEUR2026-12-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20261228FI4000456090Variable rateEUR2026-12-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270109FI4000517875Variable rateEUR2027-01-09Euronext Dublin
DANSKE BANK AS/VARI REGR 20270109FI4000514005Variable rateEUR2027-01-09Euronext Dublin
DANSKE BANK AS/VARI REGR 20270109FI4000518188Variable rateEUR2027-01-09Euronext Dublin
DANSKE BANK AS/VARI REGR 20270112FI4000513684Variable rateEUR2027-01-12Euronext Dublin
DANSKE BANK AS/VARI REGR 20270122FI4000466651Variable rateEUR2027-01-22Euronext Dublin
DANSKE BANK AS/VARI REGR 20270219FI4000480132Variable rateEUR2027-02-19Euronext Dublin
DANSKE BANK AS/VARI REGR 20270222FI4000517495Variable rateEUR2027-02-22Euronext Dublin
DANSKE BANK AS/VARI REGR 20270226FI4000480116Variable rateEUR2027-02-26Euronext Dublin
DANSKE BANK AS/VARI REGR 20270307FI4000514294Variable rateEUR2027-03-07Euronext Dublin
DANSKE BANK AS/VARI REGR 20270331FI4000490859Variable rateEUR2027-03-31Euronext Dublin
DANSKE BANK AS/VARI REGR 20270405FI4000490719Variable rateEUR2027-04-05Euronext Dublin
DANSKE BANK AS/VARI REGR 20270422FI4000490933Variable rateEUR2027-04-22Euronext Dublin
DANSKE BANK AS/VARI REGR 20270426FI4000491048Variable rateEUR2027-04-26Euronext Dublin
DANSKE BANK AS/VARI REGR 20270428FI4000491105Variable rateEUR2027-04-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270428FI4000490917Variable rateEUR2027-04-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270429FI4000496419Variable rateEUR2027-04-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20270503FI4000496401Variable rateEUR2027-05-03Euronext Dublin
DANSKE BANK AS/VARI REGR 20270505FI4000496252Variable rateEUR2027-05-05Euronext Dublin
DANSKE BANK AS/VARI REGR 20270511FI4000496542Variable rateEUR2027-05-11Euronext Dublin
DANSKE BANK AS/VARI REGR 20270512FI4000496708Variable rateEUR2027-05-12Euronext Dublin
DANSKE BANK AS/VARI REGR 20270528FI4000496757Variable rateEUR2027-05-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270528FI4000496666Variable rateEUR2027-05-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270604FI4000507025Variable rateEUR2027-06-04Euronext Dublin
DANSKE BANK AS/VARI REGR 20270610FI4000506944Variable rateEUR2027-06-10Euronext Dublin
DANSKE BANK AS/VARI REGR 20270610FI4000506886Variable rateEUR2027-06-10Euronext Dublin
DANSKE BANK AS/VARI REGR 20270628FI4000507074Variable rateEUR2027-06-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270707FI4000507363Variable rateEUR2027-07-07Euronext Dublin
DANSKE BANK AS/VARI REGR 20270728FI4000507603Variable rateEUR2027-07-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270728FI4000507736Variable rateEUR2027-07-28Euronext Dublin
DANSKE BANK AS/Vari Regr 20270810FI4000508015Variable rateEUR2027-08-10Euronext Dublin
DANSKE BANK AS/VARI REGR 20270825FI4000508064Variable rateEUR2027-08-25Euronext Dublin
DANSKE BANK AS/VARI REGR 20270830FI4000508056Variable rateEUR2027-08-30Euronext Dublin
DANSKE BANK AS/VARI REGR 20270917FI4000508296Variable rateEUR2027-09-17Euronext Dublin
DANSKE BANK AS/VARI REGR 20270928FI4000508320Variable rateEUR2027-09-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20270929FI4000511480Variable rateEUR2027-09-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20271015FI4000511662Variable rateEUR2027-10-15Euronext Dublin
DANSKE BANK AS/VARI REGR 20271028FI4000511928Variable rateEUR2027-10-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20271029FI4000512371Variable rateEUR2027-10-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20271129FI4000512686Variable rateEUR2027-11-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20271129FI4000512504Variable rateEUR2027-11-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20271129FI4000512801Variable rateEUR2027-11-29Euronext Dublin
DANSKE BANK AS/Vari Regr 20271210FI4000513049Variable rateEUR2027-12-10Euronext Dublin
DANSKE BANK AS/VARI REGR 20271214FI4000513254Variable rateEUR2027-12-14Euronext Dublin
DANSKE BANK AS/VARI REGR 20271227FI4000513239Variable rateEUR2027-12-27Euronext Dublin
DANSKE BANK AS/VARI REGR 20271229FI4000513676Variable rateEUR2027-12-29Euronext Dublin
DANSKE BANK AS/VARI REGR 20280119FI4000513890Variable rateEUR2028-01-19Euronext Dublin
DANSKE BANK AS/VARI REGR 20280201FI4000514062Variable rateEUR2028-02-01Euronext Dublin
DANSKE BANK AS/VARI REGR 20280207FI4000514146Variable rateEUR2028-02-07Euronext Dublin
DANSKE BANK AS/VARI REGR 20280228FI4000517347Variable rateEUR2028-02-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20280328FI4000517834Variable rateEUR2028-03-28Euronext Dublin
DANSKE BANK AS/VARI REGR 20280415FI4000518683Variable rateEUR2028-04-15Euronext Dublin
DANSKE BANK AS/VARI REGR 20280428FI4000518493Variable rateEUR2028-04-28Euronext Dublin
Danske Bank/1.865 MB 20301004 SrCH1296276145Fixed rate1.865%CHF2030-10-04not on a retail exchange
DANSKE BANK AS/Vari Regr 20301006FI4000592167Variable rateEUR2030-10-06Euronext Dublin
DANSKE BANK AS/Vari Regr 20301006FI4000592175Variable rateEUR2030-10-06Euronext Dublin
DANSKE BANK AS/Vari Regr 20310330FI4000602164Variable rateEUR2031-03-30Euronext Dublin
DANSKE BANK AS/Vari Regr 20310617FI4000603147Variable rateEUR2031-06-17Euronext Dublin
Danske Bk./1.39/ DB SDO 2033DK0030419999Fixed rate1.389%EUR2033-05-25Euronext Dublin
DANSKE BANK A/S/6.6EUR NT PERP SUBXS3317583022Fixed rate6.6%USD9999-12-31Börse Frankfurt · Euronext Dublin
DANSKE BANK A/S/7EUR NT PERP SUBXS2947175019Fixed rate7%USD9999-12-31Börse Frankfurt · Börse München +2
DANSKE BANK A/S/6.125EUR NT PERP W/XS1586367945Fixed rate6.125%USD9999-12-31Euronext Dublin
DANSKE BANK A/S/4.375EUR NT PERP W/XS2343014119Fixed rate4.375%USD9999-12-31not on a retail exchange
DANSKE BANK A/S/VARBD PERP W/C SUBXS1825417535Variable rateUSD9999-12-31not on a retail exchange
DANSKE BANK AS/5.75 BD PERP JR SUBXS1044578273Fixed rateEUR9999-12-31not on a retail exchange
NoteAn informational registry of objective data, not investment advice or an offer to buy. It does not show market prices. Information comes from the public EU register and may contain delays or inaccuracies: always verify with your broker.
Sources: reference data from ESMA (FIRDS); issuer identifiers from GLEIF (LEI, CC0 licence). Rebalix is not affiliated with or endorsed by ESMA, GLEIF or the issuer.

Frequently asked questions

How many Danske Bank bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 77 not yet matured. The list refreshes weekly together with the register.

Are Danske Bank bonds government bonds?

No. They are corporate bonds — loans to a company (Danske Bank), not to a state. Risk and return depend on the issuer's credit standing, not a government's.

Does it include prices and yields?

No. This is a registry — ISIN, coupon type, currency, maturity, venue — not a price list: prices change constantly and you'll see them at your broker. If you have a price, you can estimate the yield to maturity with the Rebalix calculator.

What does ISIN mean?

It's the 12-character international code that uniquely identifies each bond: using it with your broker avoids mix-ups between similarly named issues.

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