medium-term note

DEUTSCHE BANK AG FRN 2047

Pricing

Price

Yield To Maturity

Duration

Last Trade Date

Identifiers

ISIN

XS1620173069

Figi

Ticker

Features

Currency

JPY

Coupon

Maturity Date

2047-06-14

Interest Type

Variable Rate

Maturity Type

Fixed

Callable

False

Puttable

False

Min Increment

50,000,000

Issued Amount

150,000,000

Rank

Senior

Registration Type

Bearer

Issuer info

Issuer

DEUTSCHE BANK AG

LEI

7LTWFZYICNSX8D621K86

Country

Germany

Issuer Type

Corporate

Sector

Financials

Industry group

Banks

Ratings

Issue rating

-/-/-

Issuer rating

A1/A/A-

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Trade data is collected from publicly available MiFID II post-trade reports from European venues. Prices and volumes are updated daily.

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Other bonds from same issuer

Showing 1 - 300 of 2972 results.

ISIN

Ticker

Currency

Coupon

Maturity Date

DE000DE04Y82 DB 1 03/28/24 EUR 1.0 2024-03-28
XS0461345752 DB V2 11/18/25 EMTN EUR 2.0 2025-11-18
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DE000DB9VBN1 DB V0 03/21/25 --- EUR 2025-03-21
DE000DB9VLG4 DB 3.5 11/17/25 EUR 3.5 2025-11-17
DE000DB7XKG6 DB F 07/29/25 EMtN EUR 4.925 2025-07-29
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DE000DB9VMS7 DB 3 05/01/26 EUR 3.0 2026-01-05
DE000DB7XGS9 DB 2.125 06/20/24 EMTn EUR 2.125 2024-06-20
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DE000DB9U9D8 DB V0 12/12/29 EUR 2029-12-12
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DE000DB9U3C3 DB V0.25 11/26/25 EUR 2025-11-26
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DE000DB9VEW6 DB 3 07/07/25 EUR 3.0 2025-07-07
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DE000A30VT97 DB V10 PERP EUR 10.0 2098-01-15
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DE000DL19WK9 DB 1.14 02/16/26 EMTN EUR 1.14 2026-02-16
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DE000DB9U7G5 DB 1.35 07/01/25 EMTN EUR 1.35 2025-07-01
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DE000DB9VEG9 DB V0 06/15/29 EUR 2029-06-15
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DE000DB9UTX4 DB V1 02/21/25 EMTN EUR 2025-02-21
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DE000DB9VNH8 DB V0 02/07/28 0 EUR 2028-02-07
XS0076085603 DB 0 05/27/27 REGS ZAR 0.0 2027-05-27
DE000DB9U5B0 DB V0.2 10/18/28 EUR 2028-10-18
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DE000DM338R0 DB F 12/19/25 EMTN EUR 2025-12-19
DE000DB9VML2 DB 3.4 01/04/29 EUR 3.4 2029-01-04
DE000DL19V55 DB V4.5 PERP EUR 4.5 2098-01-15
DE000DL8Y3P1 DB 0.2 01/15/26 EMTN EUR 0.2 2026-01-15
DE000DB9U8N9 DB 2.5 11/17/25 EUR 2.5 2025-11-17
XS0461370511 DB 0 04/22/26 . USD 0.0 2026-04-22
DE000DB9VMM0 DB 2.9 01/08/25 EUR 2.9 2025-01-08
DE000DB9VJG8 DB 3.05 10/02/24 EUR 3.05 2024-10-02
DE000DB9VJA1 DB 3.4 09/14/26 EUR 3.4 2026-09-14
DE000DB7XKH4 DB F 07/30/25 EMTn EUR 4.793 2025-07-30
DE000DB9VFU7 DB 3.25 08/04/25 EUR 3.25 2025-08-04
DE000A30V5L4 DB 5.16 01/12/32 EMTN EUR 5.16 2032-01-12
DE000DB9U6V6 DB 0.55 04/14/25 EUR 0.55 2025-04-14
DE000DB9U9R8 DB V3.1 01/19/28 EUR 3.1 2028-01-19
DE000DL19WN3 DB V4 06/24/32 EMTN EUR 4.0 2032-06-24
DE000DL19T91 DB 1.405 11/04/33 EMTN EUR 1.405 2033-11-04
DE000DB9VLF6 DB 3.2 11/20/24 EUR 3.2 2024-11-20
DE000A30VT06 DB V5 09/05/30 EUR 5.0 2030-09-05
DE000A30V5C3 DB V5.375 01/11/29 EUR 5.375 2029-01-11
DE000DB9USZ1 DB V1.2 02/07/25 EMTN EUR 2025-02-07
DE000DB9VER6 DB 3.3 07/03/28 EUR 3.3 2028-07-03
DE000DB9VEY2 DB 3.7 07/13/28 EUR 3.7 2028-07-13
DE000DB9U5M7 DB V0.2 12/06/28 EUR 2028-12-06

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