Paragon Bank PLC

United Kingdom

Pool Program details

Identifier Paragon Covered Bond Programme
Country United Kingdom
Legal framework UK Covered Bonds
Harmonised transparency template https://www.paragonbankinggroup.co.uk/investors/fixed-income/covered-bond
Pool type Mortgage
Description

Bond details

ISIN XS3019748337
Other identifier
Face value (EUR) 602,990,835
Face value (GBP) 500.000.000,00
Initial Issuance Date 11/03/2025
Maturity Date 20/03/2028
EU Label Non-EEA, Art 14 CBD compliant
Maturity profile SB
Tapped No
Coupon Type Floating
Syndicated No
Listed Yes
LCR 1
Description
Additional Information Please refer to our website for further information: https://www.paragonbankinggroup.co.uk/investors/fixed-income/covered-bond