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Raiffeisen Bank Intl bonds

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

78 bonds outstanding · Parent domicile: Austria
Matures fromto78 bonds
BondISINTypeCouponCurrencyMaturityExchange
RBI/1.21 BD 20260727 159AT000B014436Fixed rate1.21%EUR2026-07-27Wiener Börse
RBI/2.756 BD 20260801 253AT000B015391Fixed rate2.756%EUR2026-08-01Wiener Börse
RBI/VAR FRN 20261005 160AT000B014444Variable rateEUR2026-10-05Wiener Börse
RBI/VAR NTS 20261102 284AT000B015615Variable rateEUR2026-11-02Wiener Börse
RBI/VAR FRN 20261119 163AT000B014485Variable rateEUR2026-11-19Wiener Börse
RBI/4.7 NTS 20261206 286AT000B015631Fixed rate4.7%USD2026-12-06Wiener Börse
RBI/VAR FRN 20270129 205AT000B014931Variable rateEUR2027-01-29Börse Frankfurt · Wiener Börse
RBI/VAR BD 20270226 170AT000B014543Variable rateEUR2027-02-26Wiener Börse
RBI/4.2 BD 20270304AT0000A3HTZ6Fixed rate4.2%USD2027-03-04Börse Stuttgart
RBI/VAR FRN 20270329 177AT000B014600Variable rateEUR2027-03-29Wiener Börse
RBI/2.096 BD 20270330 245AT000B015326Fixed rate2.096%EUR2027-03-30Wiener Börse
RBI/4 BD 20270414 268AT000B015482Fixed rate4%EUR2027-04-14Wiener Börse
RBI/0.238 BD 20270610 230AT000B015177Fixed rate0.238%EUR2027-06-10Wiener Börse
RBI/SU BD 20270612 271AT000B015516Variable rateEUR2027-06-12not on a retail exchange
RBI/2.5 NTS 20270628 295AT000B015722Fixed rate2.5%EUR2027-06-28Wiener Börse
RBI/SU BD 20270717 275AT000B015540Variable rateEUR2027-07-17not on a retail exchange
RBI/VAR NTS 20270916 256AT000B015409Variable rateEUR2027-09-16Wiener Börse
RBI/2.75 BD 20270924AT0000A3FMN1Fixed rate2.75%EUR2027-09-24Börse Stuttgart
RBI/4 BD 20270924AT0000A3FMP6Fixed rate4%USD2027-09-24Börse Stuttgart
RBI/0.25 BD 20271002 219AT000B015052Fixed rate0.25%EUR2027-10-02Wiener Börse
RBI/VAR NTS 20271013 257AT000B015417Variable rateEUR2027-10-13Wiener Börse
RBI/VAR NTS 20280131 262AT000B015433Variable rateEUR2028-01-31Wiener Börse
RBI/4 BD 20280218AT0000A3J0M7Fixed rate4%USD2028-02-18Börse Stuttgart
RBI/VAR NTS 20280222 264AT000B015466Variable rateEUR2028-02-22Wiener Börse
RBI/3 BD 20280331AT0000A3K8K1Fixed rate3%EUR2028-03-31Börse Stuttgart
RBI/SU BD 20280504 137AT000B014246Variable rateEUR2028-05-04not on a retail exchange
RBI/3.25 BD 20280530AT0000A3LDD9Fixed rate3.25%USD2028-05-30Börse Stuttgart
RBI/3.5 BD 20280602AT0000A3M5J7Fixed rate3.5%USD2028-06-02Börse Stuttgart
RBI/SU BD 20280603AT000B015367Variable rateEUR2028-06-03Wiener Börse
RBI/3 BD 20280822AT0000A3EK12Fixed rate3%EUR2028-08-22not on a retail exchange
RBI/3.5 BD 20280918AT0000A3NM19Fixed rate3.5%USD2028-09-18Börse Stuttgart
RBI/SU BD 20281102 282AT000B015607Variable rateEUR2028-11-02Wiener Börse
UNKNOWNQOXDBA004153OtherEUR2028-12-29not on a retail exchange
RBI/VAR COV BD 20290130 288AT000B015672Variable rateEUR2029-01-30Wiener Börse
RBI/3.05 NTS 20290220 305AT000B015797Fixed rate3.05%EUR2029-02-20Wiener Börse
RBI/3.25 BD 20290312AT0000A3RVP2Fixed rate3.25%USD2029-03-12Börse Stuttgart
RBI/ZB 20290328 291AT000B015698Zero coupon0%EUR2029-03-28Wiener Börse
RBI/VAR COV BD 20290417 294AT000B015714Variable rateEUR2029-04-17Wiener Börse
RBI/3.5 BD 20290514AT0000A3U0E9Fixed rate3.5%USD2029-05-14Börse Stuttgart
RBI/3.25 BD 20290529AT0000A3UHX9Fixed rate3.25%USD2029-05-29Börse Stuttgart
RBI/ZB 20290530AT0000A3LMS8Zero coupon0%USD2029-05-30Börse Stuttgart
RBI/SU BD 20290610 296AT000B015730Variable rateEUR2029-06-10Wiener Börse
RBI/SU BD 20290614AT000B014667Variable rateEUR2029-06-14Wiener Börse
RBI/SU BD 20290904AT000B014741Variable rateEUR2029-09-04Wiener Börse
RBI/SU BD 20291105 198AT000B014790Variable rateEUR2029-11-05Börse Frankfurt · Wiener Börse
RBI/SU BD 20291206 285AT000B015623Variable rateEUR2029-12-06Wiener Börse
RBI/0.7 BD 20291206AT000B014816Fixed rate0.7%EUR2029-12-06Wiener Börse
RBI/SU BD 20291211 199AT000B014808Variable rateEUR2029-12-11Börse Frankfurt · Wiener Börse
RBI/3 BD 20291228AT0000A3VAJ1Fixed rate3%EUR2029-12-28Börse Stuttgart
RBI/SU BD 20300214 240AT000B015250Variable rateEUR2030-02-14Wiener Börse
RBI/VAR BD 20300418AT000B015706Variable rateEUR2030-04-18Wiener Börse
RBI/3.453 BD 20300527 317AT000B015896Fixed rate3.453%EUR2030-05-27Wiener Börse
RBI/VAR FRN 20300717 277AT000B015565Variable rateEUR2030-07-17Wiener Börse
RBI/0.43 BD 20300909 218AT000B015045Fixed rate0.43%EUR2030-09-09Wiener Börse
RBI/3.04 NTS 20300926 311AT000B015847Fixed rate3.04%EUR2030-09-26Wiener Börse
RBI/SU BD 20300930AT000B014758Variable rateEUR2030-09-30Wiener Börse
RBI/VAR COV BD 20301024 312AT000B015854Variable rateEUR2030-10-24Wiener Börse
RBI/ZB 20301231 1AT000B015102Zero coupon0%EUR2030-12-31not on a retail exchange
UNKNOWNQOXDBA016710OtherEUR2030-12-31not on a retail exchange
RBI/SU BD 20310129 302AT000B015763Variable rateEUR2031-01-29Wiener Börse
RBI/VAR FRN 20310319 315AT000B015870Variable rateUSD2031-03-19Wiener Börse
RBI/VAR BD 20310409 306AT000B015805Variable rateEUR2031-04-09Wiener Börse
RBI/SU BD 20310704 307AT000B015813Variable rateEUR2031-07-04Wiener Börse
RBI/SU BD 20310911 217AT000B015037Variable rateEUR2031-09-11Wiener Börse
RBI/VAR CLB FRN 20320630 318AT000B015904Variable rateEUR2032-06-30Wiener Börse
RBI/0.37 BD 20330203 224AT000B015110Fixed rate0.37%EUR2033-02-03Wiener Börse
RBI/VAR COV BD 20330326 316AT000B015888Variable rateEUR2033-03-26Wiener Börse
RBI/VAR FRN 20330822 279AT000B015581Variable rateEUR2033-08-22Wiener Börse
RBI/VAR CLB FRN 20340630 319AT000B015912Variable rateEUR2034-06-30Wiener Börse
RBI/4.5 SUB CLB BD 20350928 3AT0000285473Fixed rate4.5%EUR2035-09-28Wiener Börse
RBI/ZB 20380427AT000B014253Zero coupon0%EUR2038-04-27Wiener Börse
RBI/5.46 CLB BD 20430816 278AT000B015573Fixed rate5.46%EUR2043-08-16Wiener Börse
RAIFFEISEN BANK/6.2 BD PERP JR SUBXS3258450074Fixed rate6.2%EUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +3
RAIFFEISEN BANK/7.375 BD PERP UNSECXS2785548053Fixed rate7.375%EUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +3
RAIFFEISEN BANK/6.375 BD PERP UNSECXS3028073701Fixed rate6.375%EUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +2
RAIFFEISEN BANK/VAREUR NT PERP W/CXS1640667116Variable rateEUR9999-12-31not on a retail exchange
RAIFFEISEN BANK/VARBD PERP W/C SUBXS1756703275Variable rateEUR9999-12-31not on a retail exchange
RAIFFEISEN BANK/6 BD PERP JR SUBXS2207857421Fixed rate6%EUR9999-12-31not 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 Raiffeisen Bank Intl bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 78 not yet matured. The list refreshes weekly together with the register.

Are Raiffeisen Bank Intl bonds government bonds?

No. They are corporate bonds — loans to a company (Raiffeisen Bank Intl), 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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