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UniCredit bonds

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

148 bonds outstanding · Parent domicile: Italy
Matures fromto148 bonds
BondISINTypeCouponCurrencyMaturityExchange
UCBA/3 COV BD 20260731 513AT000B049937Fixed rate3%EUR2026-07-31Börse Düsseldorf · Börse Frankfurt +5
UNICREDIT/1.65 CB 20260731IT0005026023Fixed rate1.65%EUR2026-07-31Borsa del Lussemburgo
UNICREDIT/VAR IHS 20260803 USECDE000HVB6VP4Variable rateEUR2026-08-03Börse Stuttgart
UNICREDIT/VAR IHS 20260824 USECDE000HVB6XP0Variable rateEUR2026-08-24Börse Stuttgart
UNICREDIT/VAR IHS 20260825 USECDE000HVB81F3Variable rateUSD2026-08-25Börse Stuttgart
UNICREDIT/VAR IHS 20260829 USECDE000HVB6Y09Variable rateUSD2026-08-29Börse Stuttgart
UNICREDIT SPA/2.569 NT 20260922 UUS904678AU32Fixed rate2.569%USD2026-09-22not on a retail exchange
UNICREDIT/VAR IHS 20261023 USECDE000HVB87V7Variable rateUSD2026-10-23Börse Stuttgart
UNICREDIT/VAR FLN 20261126 USECDE000HC2RK01Variable rateUSD2026-11-19Borsa Italiana
UNICREDIT/VAR FLN 20261126 USECDE000HC2RJZ6Variable rateUSD2026-11-19Borsa Italiana
UNICREDIT BANCA/TV 20263011IT0004151483Variable rateEUR2026-11-30not on a retail exchange
UNICREDIT/1.67 IHS 20261209 S. 1844DE000HV2ALC4Fixed rate1.67%EUR2026-12-09Börse München
B. PER LA CASA/TV 20261215IT0003781652Variable rateEUR2026-12-15not on a retail exchange
UCBA/SU BD 20270319 BAM04AT000B044177Variable rateEUR2027-03-19Börse Stuttgart
UNICREDIT/VAR IHS 20270405 USECDE000HVB6K54Variable rateUSD2027-04-05not on a retail exchange
UNICREDIT SPA/4.625 NT 20270412 UUS904678AB50Fixed rate4.625%USD2027-04-12not on a retail exchange
UNICREDIT/1.982 OB RIMB 20270603US904678AX70OtherUSD2027-06-03not on a retail exchange
UNICREDIT SPA/1.982 NT 20270603 UUS904678AW97OtherUSD2027-06-03not on a retail exchange
UNICREDIT/VAR IHS 20270712 USECDE000HVB20U0Variable rateUSD2027-07-12not on a retail exchange
UCBA/SU BD 20270716AT000B044250Variable rateEUR2027-07-16Börse Stuttgart
UCBA/2.7 BD 20270726 6AT000B043393Fixed rate2.7%EUR2027-07-26not on a retail exchange
UCBA/2.375 COV BD 20270920 511AT000B049929Fixed rate2.375%EUR2027-09-20Wiener Börse
UNICREDIT/VAR FLN 20271011 USECDE000HV4YZ11Variable rateUSD2027-10-11not on a retail exchange
UNICREDIT/VAR IHS 20271122 USECDE000HW8N689Variable rateEUR2027-11-22not on a retail exchange
UNICREDIT/VAR FLN 20271203 USECDE000HV4Z4T4Variable rateUSD2027-12-03not on a retail exchange
UNICREDIT/VAR FLN 20271223 USECDE000HC2J3B6Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J338Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J346Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J353Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J361Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J379Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J387Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J395Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J3A8Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J3C4Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J3D2Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20271223 USECDE000HC2J3E0Variable rateEUR2027-12-16Borsa Italiana
UNICREDIT/VAR FLN 20280114 USECDE000HV4Z9P1Variable rateEUR2028-01-14not on a retail exchange
UNICREDIT/VAR FLN 20280114 USECDE000HV4Z9N6Variable rateUSD2028-01-14not on a retail exchange
UNICREDIT/VAR ANL 20280124 USEC VKBDE000HVB27Q3Variable rateEUR2028-01-24Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR ANL 20280124 USEC VKBDE000HVB27S9Variable rateEUR2028-01-24Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR ANL 20280124 USEC VKBDE000HVB27R1Variable rateEUR2028-01-24Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/0.0 DEB 20280321CZ0003709669Zero coupon0%EUR2028-03-21Borsa di Praga
UC-HVB/VAR ANL 20280327 USEC VKBDE000HV5L1U3Variable rateEUR2028-03-27Borsa del Lussemburgo
UNICREDIT/VAR ANL 20280327 USEC VKBDE000HV5L1T5Variable rateEUR2028-03-27Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR FLN 20280407 USECDE000HV4ZJ02Variable rateEUR2028-04-07not on a retail exchange
UCBA/1.71 BD 20280412 4AT000B044011Fixed rate1.71%EUR2028-04-12not on a retail exchange
UNICREDIT/3.04 DEB 20280607CZ0002003114Fixed rate3.04%EUR2028-06-07Borsa di Praga
UNICREDIT/VAR ANL 20280627 USEC VKBDE000HVB2P61Variable rateEUR2028-06-27Borsa del Lussemburgo · Börse Stuttgart
UCBA/1.68 BD 20280701 5AT000B044045Fixed rate1.68%EUR2028-07-01not on a retail exchange
UCBA/SU BD 20280814AT000B044276Variable rateEUR2028-08-14Börse Stuttgart
UCBA/SU BD 20280911AT000B044284Variable rateEUR2028-09-11Börse Stuttgart
UNICREDIT/VAR FLN 20280926 USECDE000UG9S382Variable rateEUR2028-09-26not on a retail exchange
UCBA/SU BD 20281009AT000B044300Variable rateEUR2028-10-09Börse Stuttgart
UCBA/2.875 COV BD 20281110 516AT000B049952Fixed rate2.875%EUR2028-11-10Börse Düsseldorf · Börse Frankfurt +2
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQC2Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQB4Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQD0Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQA6Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ90Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ82Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ74Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ66Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ58Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ25Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQF5Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UQ09Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UPZ5Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UPX0Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UPW2Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UPV4Variable rateEUR2028-12-19Borsa Italiana
UNICREDIT/VAR FLN 20281228 USECDE000HC3UPU6Variable rateEUR2028-12-19Borsa Italiana
UCBA/SU BD 20290212AT000B044359Variable rateUSD2029-02-12Börse Stuttgart
UNICREDIT/0.0 DEB 20290212CZ0003710816Zero coupon0%EUR2029-02-12Borsa di Praga
UCBA/SU BD 20290319AT000B044367Variable rateEUR2029-03-19Börse Stuttgart
UCBA/SU BD 20290416AT000B044417Variable rateEUR2029-04-16Börse Stuttgart
UNICREDIT/VAR ANL 20290426 USEC VKBDE000HVB3EK8Variable rateEUR2029-04-26Borsa del Lussemburgo · Börse Stuttgart
UCBA/SU BD 20290604AT000B044441Variable rateUSD2029-06-04Börse Stuttgart
UCBA/SU BD 20290730AT000B044474Variable rateEUR2029-07-30Börse Stuttgart
UNICREDIT/VAR MTN 20290731IT0005600181Variable rateEUR2029-07-31Borsa del Lussemburgo
UCBA/SU BD 20290903AT000B044516Variable rateEUR2029-09-03Börse Stuttgart
UCBA/3.125 COV BD 20290921 514AT000B049945Fixed rate3.125%EUR2029-09-21Börse Düsseldorf · Börse Frankfurt +5
UCBA/SU BD 20291129AT000B044557Variable rateEUR2029-11-29Börse Stuttgart
UCBA/SU BD 20291227AT000B044581Variable rateEUR2029-12-27Börse Stuttgart
UNICREDIT/VAR FLN 20291231 USECDE000UN5T0Y9Variable rateUSD2029-12-31not on a retail exchange
UCBA/SU BD 20300129AT000B044599Variable rateEUR2030-01-29Börse Stuttgart
UCBA/SU BD 20300204AT000B044607Variable rateEUR2030-02-04Börse Stuttgart
UCBA/VAR FRN 20300212AT000B044342Variable rateEUR2030-02-12Börse Stuttgart
UNICREDIT/VAR IHS 20300318 USECDE000HV4ZJA5Variable rateUSD2030-03-18Börse Stuttgart
UCBA/VAR FRN 20300319AT000B044375Variable rateEUR2030-03-19Börse Stuttgart
UNICREDIT/3.236 MTN 20300430IT0005710493Fixed rate3.236%EUR2030-04-30Borsa del Lussemburgo
UNICREDIT/3 MTN 20300627IT0005657363Fixed rate3%EUR2030-06-27Borsa del Lussemburgo
UNICREDIT/VAR ZT 20300715 USECDE000HV4FD85Variable rateEUR2030-07-15Borsa Italiana
UNICREDIT/VAR ZT 20300826 USECDE000HV4FZ06Variable rateEUR2030-08-26Borsa Italiana
UNICREDIT/VAR ANL 20300923 USEC VKBDE000HVB4RD3Variable rateEUR2030-09-23Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR ANL 20300923 USEC VKBDE000HVB4RE1Variable rateEUR2030-09-23Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR ZT 20300924 USECDE000HV4G7Z7Variable rateEUR2030-09-24Borsa Italiana
UCBA/SU BD 20301001AT000B044524Variable rateEUR2030-10-01Börse Stuttgart
UCBA/SU BD 20301015AT000B044540Variable rateUSD2030-10-15Börse Stuttgart
UCBA/2.625 COV BD 20310218 523AT000B049994Fixed rate2.625%EUR2031-02-18Börse Düsseldorf · Börse Frankfurt +3
UCBA/SU BD 20310304AT000B044631Variable rateEUR2031-03-04Börse Stuttgart
UNICREDIT/3.518 MTN 20310327IT0005642985Fixed rate3.518%EUR2031-03-27Borsa del Lussemburgo
UNICREDIT/VAR ZT 20310331 USECDE000HV4L5D1Variable rateEUR2031-03-31Borsa Italiana
UNICREDIT/VAR ANL 20310331 USECDE000HVB5AZ9Variable rateEUR2031-03-31Borsa del Lussemburgo · Börse Stuttgart
UCBA/SU BD 20310401AT000B044664Variable rateEUR2031-04-01Börse Stuttgart
UCBA/VAR FRN 20310424AT000B044425Variable rateEUR2031-04-24Börse Stuttgart
UCBA/VAR FRN 20310527AT000B044722Variable rateEUR2031-05-27Börse Stuttgart
UCBA/SU BD 20310624AT000B044755Variable rateEUR2031-06-24Börse Stuttgart
UNICREDIT/3.323 MTN 20310731IT0005710485Fixed rate3.323%EUR2031-07-31Borsa del Lussemburgo
UCBA/VAR FRN 20310806AT000B044482Variable rateEUR2031-08-06Börse Stuttgart
UCBA/VAR FRN 20311029AT000B044565Variable rateEUR2031-10-29Börse Stuttgart
UCBA/SU BD 20320129AT000B044698Variable rateEUR2032-01-29Börse Stuttgart
UCBA/VAR COV BD 20320228 518AT000B049960Variable rateEUR2032-02-27Wiener Börse
UNICREDIT SPA/3.127 NT 20320603 UUS904678AY53OtherUSD2032-06-03not on a retail exchange
UCBA/VAR BD 20320618AT000B044433Variable rateEUR2032-06-18Börse Stuttgart
UNICREDIT SPA/NT 20320619 UNSEC 1US904678AE99Fixed rate5.861%USD2032-06-19not on a retail exchange
UNICREDIT SPA/5.861 NT 20320619 UUS904678AF64Fixed rate5.861%USD2032-06-19not on a retail exchange
UCBA/3 COV BD 20320625AT000B050000Fixed rate3%EUR2032-06-25Börse Düsseldorf · Börse Frankfurt +2
UNICREDIT/3.375 MTN 20321031IT0005710501Fixed rate3.375%EUR2032-10-31Borsa del Lussemburgo
UNICREDIT BANK/VAR 20321106XS3224003650Variable rateEUR2032-11-06Borsa del Lussemburgo
UCBA/VAR COV BD 20330128 522AT000B049986Variable rateEUR2033-01-28Wiener Börse
UNICREDIT/3.606 MTN 20330330IT0005702136Fixed rate3.606%EUR2033-03-30Borsa del Lussemburgo
UCBA/VAR BD 20330513AT000B044706Variable rateEUR2033-05-13Börse Stuttgart
UNICREDIT/3.45 MTN 20330630IT0005719569Fixed rate3.45%EUR2033-06-30Borsa del Lussemburgo · Börse München
UNICREDIT SPA/VAR RATE NT 20340402US904678AQ20Variable rateUSD2034-04-02not on a retail exchange
UNICREDIT/4.32 MTN 20340530IT0005597569Fixed rate4.32%EUR2034-05-30Borsa del Lussemburgo
UNICREDIT/3.6 MTN 20340626IT0005719437Fixed rate3.6%EUR2034-06-26Borsa del Lussemburgo
UNICREDIT/3.757 OB RIMB 20341016IT0005617722Fixed rate3.757%EUR2034-10-16Borsa del Lussemburgo
UCBA/SU BD 20350215AT000B044490Variable rateEUR2035-02-15Börse Stuttgart
UNICREDIT/VAR ANL 20350312 USEC VKBDE000HVB4908Variable rateEUR2035-03-12Börse Stuttgart
UCBA/SU BD 20350516AT000B044458Variable rateEUR2035-05-16Börse Stuttgart
UNICREDIT SPA/5.459 NT 20350630 UUS904678AS85Fixed rate5.459%USD2035-06-30not on a retail exchange
UCBA/VAR COV BD 20350709 520AT000B049978Variable rateEUR2035-07-09Wiener Börse
UNICREDIT/VAR IHS 20360324 USECDE000HVB5A65Variable rateEUR2036-03-24Börse Frankfurt · Börse Stuttgart
UCBA/SU BD 20360401AT000B044680Variable rateEUR2036-04-01Börse Stuttgart
UNICREDIT/VAR ANL 20360604 USECDE000HVB5JC9Variable rateEUR2036-06-04Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR FLN 20360604 USECDE000HVB5JD7Variable rateEUR2036-06-04Borsa del Lussemburgo · Börse Stuttgart
UNICREDIT/VAR ANL 20360916 USECDE000HVB5VV4Variable rateEUR2036-09-16Börse Stuttgart
Unicredit /Unicredit FRN 30/03IT0005701039Variable rateEUR2038-03-30Borsa del Lussemburgo
UNICREDIT/5.321 MTN 20381115IT0005571218Fixed rate5.321%EUR2038-11-15Borsa del Lussemburgo
UNICREDIT/VAR IHS 20400131 USECDE000HVB44Q8Variable rateEUR2040-01-31Börse Stuttgart
UNICREDIT/VAR ILB 20410114 USECDE000HVB51G4Variable rateEUR2041-01-14Börse München
UNICREDIT SPA/9.25 BD PERP JR UNSECXS1539597499Fixed rate9.25%EUR2049-06-29not on a retail exchange
UNICREDIT SPA/6.625 BD PERP JR REGSXS1619015719Fixed rate6.625%EUR9999-12-31not on a retail exchange
UNICREDIT/VAR NRA UNL NACH USECDE000HV4Z3V2Variable rateEUR9999-12-31not on a retail exchange
UNICREDIT SPA/VAREUR NT AMORT PN W/XS1963834251Variable rateEUR9999-12-31Börse Hamburg
UNICREDIT SPA/5.375 BD PERP JR SUBXS1739839998Fixed rate5.375%EUR9999-12-31not on a retail exchange
UNICREDIT SPA/8 BD PERP JR UNSECXS1046224884Fixed rate8%USD9999-12-31not 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 UniCredit bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 148 not yet matured, issued by 4 group entities. The list refreshes weekly together with the register.

Are UniCredit bonds government bonds?

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

Guides & tools

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