Emirates NBD Bank PJSC
Indicative
Full Lot
Indicative price as of 02 Oct 2026, 4:33pm
Ask Yield to Maturity
Bid Yield to Maturity
Bond Issuer
Emirates NBD Bank PJSC
Guarantor
-
Announcement Date
11 Jun 2025
Issue Date
18 Jun 2025
Maturity Date
18 Jun 2035
Years to Maturity / Next Call
8.706 / -
Modified Duration
6.558 @ 02 Oct 2026
Issue / Reoffer Price
100.000
Issue / Reoffer Yield
5.913
Coupon Type
Fixed
Annual Coupon Rate
5.913
Coupon Frequency
Semi Annually
Seniority
Senior Unsecured
Capital Structure
Senior Unsecured
Reference Rate
-
ISIN
AU3CB0322915
CUSIP
YN2684762
Bond Currency
AUD
Total Issue Size
600,000,000
Min. Investment Quantity (Nominal)
AUD 10,000
Incremental Quantity (Nominal)
AUD 10,000
Bond Type
Corporate
Bond Sector
Financials
Bond Sub Sector
Banks
Issuer Credit Rating (S&P/ Fitch)
***/ A+
Bond Credit Rating (S&P/ Fitch)
***/ A+
Shariah Compliant
No
Exchange Listed
Others
Cash Flow Information