Clydesdale Bank PLC (trading as Virgin Money)

United Kingdom

Pool Program details

Identifier Clydesdale Bank PLC (formerly Virgin Money plc) Programme
Country United Kingdom
Legal framework UK Covered Bonds
Harmonised transparency template https://www.virginmoneyukplc.com/investor-relations/debt-investors/global-covered-bonds/#section-2023-39
Pool type Mortgage
Description

Bond details

ISIN XS3095269539
Other identifier 309526953
Face value (EUR) 4,522,431,260
Face value (GBP) 3.750.000.000,00
Initial Issuance Date 13/06/2025
Maturity Date 22/06/2035
EU Label Non-EEA, Art 14 CBD compliant
Maturity profile SB
Tapped No
Coupon Type Floating
Syndicated No
Listed Yes
LCR 2A
Description Series 10 £3,750,000,000 Floating Rate (Compounded Daily SONIA + 0.80 per cent) Regulated Covered Bond due June 2035
Additional Information