SEDOL Code ISIN Issuer Instrument
B8JYSW6 IE00B8JYSW68 IRISH GOVERNMENT BONDS 5.92 per cent Amortising Bond 20 May 2042
B86ST62 IE00B86ST629 IRISH GOVERNMENT BONDS 5.92 per cent Amortising Bond 20 September 2047
B7XWNN5 IE00B7XWNN51 IRISH GOVERNMENT BONDS 5.72 per cent Amortising Bond 20 July 2027
B7Z55X6 IE00B7Z55X64 IRISH GOVERNMENT BONDS 5.82 per cent Amortising Bond 20 March 2032
BH3SQB2 IE00BH3SQB22 IRISH GOVERNMENT BONDS 1.5% Treasury Bond 2050
BKFVC89 IE00BKFVC899 IRISH GOVERNMENT BONDS 0.20% Treasury Bond 2030
XS1802140894 PHOENIX GROUP HOLDINGS PLC POUND500,000,000 Fixed Rate Reset Perpetual Restricted Tier 1 Contingent Convertible Notes
BMQ5JG1 IE00BMQ5JG13 REPUBLIC OF IRELAND Treasury Bill 14.12.2020
BMQ5JH2 IE00BMQ5JH20 REPUBLIC OF IRELAND Treasury Bill 22.02.2021
BMQ5JJ4 IE00BMQ5JJ44 REPUBLIC OF IRELAND Treasury Bill 19.04.2021