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NatWest bonds

Complete, always up-to-date list of NatWest bonds outstanding: for each bond you get ISIN, coupon type, currency, maturity and trading venue. NatWest is a banks issuer based in United Kingdom; 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.

68 bonds outstanding · Parent domicile: United Kingdom
Matures fromto68 bonds
BondISINTypeCouponCurrencyMaturityExchange
NATWEST MKTS PL/VAR RATE SR NT SR SUSG6382GWU23Variable rateUSD2026-09-29not on a retail exchange
NATWEST MKTS PL/SR NT 20260929 SR SUSG6382GWT59Fixed rate1.6%USD2026-09-29Börse Frankfurt
NATWEST MKTS PL/SR NT 20260929 SR SUS63906YAD04Fixed rate1.6%USD2026-09-29not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR SUS63906YAE86Variable rateUSD2026-09-29not on a retail exchange
NATWEST GRP PLC/7.472 SR NT SR SRUS639057AG33Fixed rate7.472%USD2026-11-10not on a retail exchange
NATWEST GRP PLC/5.847 SR NT SR SRUS639057AJ71Fixed rate5.847%USD2027-03-02not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR UUS63906YAK47Variable rateUSD2027-05-17not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR UUSG6382G7Q90Variable rateUSD2027-05-17Börse Stuttgart
NATWEST MKTS PL/5.416 SR NT SR SR 1US63906YAH18Fixed rate5.416%USD2027-05-17not on a retail exchange
NATWEST MKTS PL/5.416 SR NT SR SR RUSG6382G7N69Fixed rate5.416%USD2027-05-17Börse Frankfurt · Börse Stuttgart
NATWEST GRP PLC/1.642 SR NT SR UNSEUS639057AC29Fixed rate1.642%USD2027-06-14not on a retail exchange
NATWEST GRP PLC/VAR RATE SR NT SR SUS639057AM01Variable rateUSD2028-03-01Börse Stuttgart
NATWEST GRP PLC/5.583 SR NT SR SRUS639057AL28Fixed rate5.583%USD2028-03-01Börse Düsseldorf · Börse Frankfurt +1
NATWEST MKTS PL/VAR RATE NT SR REGSUSG6382RGE20Variable rateUSD2028-03-21not on a retail exchange
NATWEST MKTS PL/4.78 NT 20280321 SRUS63906YAM03OtherUSD2028-03-21not on a retail exchange
NATWEST MKTS PL/4.789 NT 20280321 SUSG6382RGD47OtherUSD2028-03-21Börse Düsseldorf · Börse Frankfurt +2
NATWEST MKTS PL/VAR RATE NT SR 144AUS63906YAN85Variable rateUSD2028-03-21not on a retail exchange
ROYAL BK SCOTLA/3.073 SR NT SR SRUS780097BP50Fixed rate3.073%USD2028-05-22Börse Stuttgart
NatWest Mkts/2.8575 Bd 20280606 SrCH1270825545Fixed rate2.8575%CHF2028-06-06not on a retail exchange
NATWEST GRP PLC/5.516 SR NT SR SRUS639057AF59OtherUSD2028-09-30Börse Frankfurt
NATWEST MKTS PL/VAR RATE SR NT SR SUSG6382RMP03Variable rateUSD2028-11-06not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR SUS63906YAR99Variable rateUSD2028-11-06not on a retail exchange
NATWEST MKTS PL/4.174 SR NT SR SR 1US63906YAT55Fixed rate4.174%USD2028-11-06not on a retail exchange
NATWEST MKTS PL/4.174 SR NT SR SR RUSG6382RMR68Fixed rate4.174%USD2028-11-06Börse München
NATWEST GRP PLC/VAR RATE SR NT SR SUS639057AR97Variable rateUSD2028-11-15Börse Stuttgart
NATWEST MKTS PL/4.654 SR NT SR SR 1US63906YAV02OtherUSD2029-03-27not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR SUSG6382RQH41Variable rateUSD2029-03-27not on a retail exchange
NATWEST MKTS PL/4.654 SR NT SR SR RUSG6382RQG67OtherUSD2029-03-27not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR UUS63906YAL20Variable rateUSD2029-05-17not on a retail exchange
NATWEST MKTS PL/5.41 SR NT 20290517US63906YAJ73Fixed rate5.41%USD2029-05-17not on a retail exchange
NATWEST MKTS PL/VAR RATE SR NT SR UUSG6382G7R73Variable rateUSD2029-05-17Börse Stuttgart
NATWEST MKTS PL/5.41 SR NT 20290517USG6382G7P18Fixed rate5.41%USD2029-05-17Börse Frankfurt · Börse Stuttgart
ROYAL BK SCOTLA/FXD FR NT 20290518US780097BG51Variable rateUSD2029-05-18Börse Düsseldorf · Börse Frankfurt +2
NATWEST GRP PLC/VAR RATE SR NT SR SUS639057AU27Variable rateUSD2029-05-23not on a retail exchange
NATWEST GRP PLC/5.808 SR NT SR SRUS639057AK45Fixed rate5.808%USD2029-09-13Börse Düsseldorf · Börse Frankfurt
ROYAL BK SCOTLA/FXD FR SUB NT SUB SUS780097BM20Variable rateUSD2029-11-01not on a retail exchange
ROYAL BK SCOTLA/FXD FR SR NT SR SRUS78009PEH01Variable rateUSD2030-01-27Börse Frankfurt · Börse Stuttgart
NATWEST MKTS PL/VAR RATE NT SR REGSUSG6382RGG77Variable rateUSD2030-03-21not on a retail exchange
NATWEST MKTS PL/5.022 NT 20300321 SUS63906YAP34OtherUSD2030-03-21not on a retail exchange
NATWEST MKTS PL/VAR RATE NT SR 144AUS63906YAQ17Variable rateUSD2030-03-21not on a retail exchange
NATWEST MKTS PL/5.022 NT 20300321 SUSG6382RGF94OtherUSD2030-03-21Börse Düsseldorf · Börse Frankfurt +1
ROYAL BK SCOTLA/FXD FR NT 20300508US780097BL47OtherUSD2030-05-08Börse Düsseldorf · Börse Frankfurt +2
NATWEST GRP PLC/4.964 SR NT SR SRUS639057AS70Fixed rate4.964%USD2030-08-15Börse Stuttgart
NATWEST MKTS PL/4.412 SR NT SR SR RUSG6382RMQ85Fixed rate4.412%USD2030-11-06Börse München
NATWEST MKTS PL/4.412 SR NT SR SR 1US63906YAS72Fixed rate4.412%USD2030-11-06not on a retail exchange
NATWEST MKTS PL/4.893 SR NT SR SR RUSG6382RQE10OtherUSD2031-03-27Börse München · Börse Stuttgart
NATWEST MKTS PL/4.893 SR NT SR SR 1US63906YAU29OtherUSD2031-03-27not on a retail exchange
NATWEST GRP PLC/5.115 SR NT SR SRUS639057AV00Fixed rate5.115%USD2031-05-23Börse Düsseldorf · Börse Frankfurt +1
NATWEST GRP PLC/4.983 SR NT SR SRUS639057AX65Fixed rate4.983%USD2032-06-18Börse Düsseldorf · Börse Frankfurt
NATWEST GRP PLC/6.016 SR NT SR SRUS639057AH16Fixed rate6.016%USD2034-03-02not on a retail exchange
NATWEST GRP PLC/6.475 SUB NT SUB SUUS639057AP32Fixed rate6.475%USD2034-06-01Börse Düsseldorf · Börse Frankfurt +1
NATWEST GRP PLC/5.778 SR NT SR SRUS639057AN83Fixed rate5.778%USD2035-03-01Börse Düsseldorf · Börse Frankfurt +1
NATWEST GRP PLC/3.032 SUB NT SUB SUUS639057AB46Fixed rate3.032%USD2035-11-28Börse Frankfurt
NATWEST GRP PLC/5.908 SUB NT SUB SUUS639057AW82OtherUSD2047-03-03not on a retail exchange
RBS 0 PERPUS780097AU54Fixed rate3.7701%USD2049-03-29not on a retail exchange
RBS GROUP PLC/5.5 BD PERP REGSXS0205935470Fixed rate5.5%EUR2049-12-29not on a retail exchange
ABN AMRO BK N V/NT 20931015 S BUS00077TAB08OtherUSD2093-10-15not on a retail exchange
ROYAL BK SCOTLA/7.648 CAP SECS UNSEUS780097AH44Fixed rate7.648%USD9999-12-31not on a retail exchange
NATWEST GROUP P/VAREUR NT PERP SUBXS3394864766Variable rateGBP9999-12-31Börse Frankfurt · Börse Stuttgart
ROYAL BK SCOTLA/VAR RATE NT PERP SUUS780097BQ34Variable rateUSD9999-12-31not on a retail exchange
NATWEST GROUP P/4.5EUR NT PERP W/CXS2315966742Fixed rate4.5%GBP9999-12-31Börse Frankfurt
NATWEST GROUP P/5.125EUR NT PERP W/XS2258827034Fixed rate5.125%GBP9999-12-31Börse Frankfurt · Börse Stuttgart
ROYAL BK SCOTLA/8 SUB NT PERP SUB SUS780099CK11Fixed rate8%USD9999-12-31not on a retail exchange
Ro Bk of Scotl./5.25 RSN UNL NACHDE000A0E6C37Fixed rate5.25%EUR9999-12-31not on a retail exchange
NATWEST GRP PLC/4.6 NT PERP SUBUS639057AD02Fixed rate4.6%USD9999-12-31Börse Frankfurt · Börse Stuttgart
NATWEST GRP PLC/VAR RATE SUB NT SUBUS639057AT53OtherUSD9999-12-31Börse Frankfurt · Börse Stuttgart
NATWEST GRP/7.625 BD PERP JR UNSECXS3178106103Fixed rate7.625%GBP9999-12-31Börse Frankfurt · Börse Stuttgart
NATWEST GRP/7.5 BD PERP JR SER-SECXS3016221981Fixed rate7.5%GBP9999-12-31not 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 NatWest bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 68 not yet matured, issued by 3 group entities. The list refreshes weekly together with the register.

Are NatWest bonds government bonds?

No. They are corporate bonds — loans to a company (NatWest), 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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