Issues 2025/26
| Documents |
|---|
| Registration Document from 04/10/2025 (pdf-file 815 KB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 04/10/2025 (pdf-file 6,5 MB) |
| Structured Securities Programme – Securities Notes from 04/10/2025 (pdf-file 2 MB) |
| Supplements to the Registration Document from 04/10/2025 |
|---|
| First Supplement to the Registration Document from 05/12/2025 (pdf-file 370 KB) |
| Second Supplement to the Registration Document dated 08/07/2025 (pdf-file 885 KB) |
| Third Supplement to the Registration Document dated 08/18/2025 (pdf-file 325 KB) |
| Fourth Supplement to the Registration Document dated 11/05/2025 (pdf-file 515 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
RBI AG Step-Up Notes with Auto-Redemption XII 2025-2031 (pdf-file 650 KB) | AT000B015813 | 06/05/2025 |
RBI AG Up to RON 150,000,000 8.00 per cent. Ordinary Senior Eligible Notes 2025-2030 /Series 308 (pdf-file 500 KB) | AT000B015821 | 06/13/2025 |
RBI AG Up to RON 150,000,000 8.40 per cent. Ordinary Senior Eligible Notes 2025-2032/Series 310 (pdf-file 580 KB) | AT000B015839 | 09/19/2025 |
RBI AG EUR 30,000,000 3.04 per cent. Ordinary Senior Notes 2025-2030/Series 311 (pdf-file 550 KB) | AT000B015847 | 09/23/2025 |
RBI AG EUR 200,000,000 Floating Rate Extendable European Covered Bond (Premium) – mortgage 2025-2030/Series 312 (pdf-file 610 KB) | AT000B015854 | 10/22/2025 |
RBI AG EUR 500,000,000 Callable Fixed to Floating Rate Green Ordinary Senior Eligible Notes 2025-2033 /Series 313 (pdf-file 2 MB) | XS3227928911 | 11/11/2025 |
Issues 2024/25
| Documents |
|---|
| Registration Document from 04/19/2024 (pdf-file 840 KB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 04/19/2024 (pdf-file 6 MB) |
| Structured Securities Programme - Securities Note from 04/19/2024 (pdf-file 2 MB) |
| Supplements to the Registration Document from 04/19/2024 |
|---|
| First Supplement to the Registration Document dated 05/07/2024 (pdf-file 265 KB) |
| Second Supplement to the Registration Document dated 05/14/2024 (pdf-file 290 KB) |
| Third Supplement to the Registration Document dated 08/02/2024 (pdf-file 285 KB) |
| Fourth Supplement to the Registration Document dated 09/11/2024 (pdf-file 110 KB) |
| Fifth Supplement to the Registration Document dated 09/24/2024 (pdf-file 105 KB) |
| Sixth Supplement to the Registration Document dated 10/24/2024 (pdf-file 110 KB) |
| Seventh Supplement to the Registration Document dated 11/06/2024 (pdf-file 325 KB) |
| Eighth Supplement to the Registration Document dated 12/04/2024 (pdf-file 200 KB) |
| Ninth Supplement to the Registration Document from 01/24/2025 (pdf-file 190 KB) |
| Tenth Supplement to the Registration Document dated 02/10/2025 (pdf-file 420 KB) |
| Eleventh Supplement to the Registration Document dated 03/03/2025 (pdf-file 330 KB) |
| Supplements to the EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 04/19/2024 |
|---|
| First Supplement to the EUR 25,000,000,000 Debt Issuance Programme - Securities Note dated 12/09/2024 (pdf-file 100 KB) |
Issues 2023/24
| Documents |
|---|
| Registration Document from 04/21/2023 (pdf-file 6 MB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securties Note from 04/21/2023 (pdf-file 1 MB) |
| Structured Securities Programme - Securities Note from 04/21/2023 (pdf-file 2 MB) |
| Supplements to the Registration Document from 04/21/2023 |
|---|
| First Supplement to the Registration Document dated 05/11/2023 (pdf-file 660 KB) |
| Second Supplement to the Registration Document dated 07/14/2023 (pdf-file 180 KB) |
| Third Supplement to the Registration Document dated 08/03/2023 (pdf-file 550 KB) |
| Fourth Supplement to the Registration Document dated 11/09/2023 (pdf-file 500 KB) |
| Fifth Supplement to the Registration Document dated 12/28/2023 (pdf-file 300 KB) |
| Sixth Supplement to the Registration Document dated 02/06/2024 (pdf-file 530 KB) |
| Seventh Supplement to the Registration Document dated 02/28/2024 (pdf-file 430 KB) |
| Supplements to the EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 04/21/2023 |
|---|
| First Supplement to the EUR 25,000,000,000 Debt Issuance Programme - Securities Note dated 12/19/2023 (pdf-file 140 KB) |
Issues 2022/23
| Documents |
|---|
| Registration Document from 07/08/2022 (pdf-file 6 MB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 07/08/2022 (pdf-file 1 MB) |
| Supplements to the Registration Document from 07/08/2022 |
|---|
| First Supplement to the Registration Document dated 08/04/2022 (pdf-file 595 KB) |
| Second Supplement to the Registration Document from 11/08/2022 (pdf-file 710 KB) |
| Third Supplement to the Registration Document dated 02/06/2023 (pdf-file 1 MB) |
| Fourth Supplement to the Registration Document dated 02/28/2023 (pdf-file 610 KB) |
| Supplements to the EUR 25,000,000,000 Debt Issuance Programme - Securities Note dated 07/08/2022 |
|---|
| First Supplement to the Securities Note dated 12/20/2022 (pdf-file 240 KB) |
Issues 2021/22
| Documents |
|---|
| Registration Document from 07/14/2021 (pdf-file 6 MB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 07/14/2021 (pdf-file 1 MB) |
| Supplements to the Registration Document from 07/14/2021 |
|---|
| First Supplement to the Registration Document from 03/08/2021 (pdf-file 540 KB) |
| Second Supplement to the Registration Document from 10/01/2021 (pdf-file 180 KB) |
| Third Supplement to the Registration Document from 11/09/2021 (pdf-file 655 KB) |
| Fourth Supplement to the Registration Document from 11/17/2021 (pdf-file 455 KB) |
| Fifth Supplement to the Registration Document from 02/17/2022 (pdf-file 590 KB) |
| Sixth Supplement to the Registration Document from 03/09/2022 (pdf-file 620 KB) |
| Seventh Supplement to the Registration Document dated 05/10/2022 (pdf-file 710 KB) |
| Supplements to the DIP Base Prospectus – Securities Note from 07/14/2021 |
|---|
| First Supplement to the DIP Base Prospectus – Securities Note from 01/17/2022 (pdf-file 580 KB) |
Issues 2020/21
| Documents |
|---|
| Registration Document from 07/17/2020 (pdf-file 7 MB) |
| EUR 25,000,000,000 Debt Issuance Programme - Securities Note from 07/17/2020 (pdf-file 1 MB) |
| Supplements |
|---|
| First supplement from 08/20/2020 (pdf-file 970 KB) |
| Second supplement from 11/18/2020 (pdf-file 1 MB) |
| Third supplement from 12/23/2020 (pdf-file 1 MB) |
| Fourth Supplement to the Registration Document from 10/02/2021 (pdf-file 720 KB) |
| Fourth Supplement to the Securities Note from 22/03/2021 (pdf-file 635 KB) |
| Fifth Supplement to the Registration Document from 22/03/2021 (pdf-file 740 KB) |
| Sixth Supplement to the Registration Document from 18/05/2021 (pdf-file 690 KB) |
| Fifth Supplement to the Securities Note from 08/06/2021 (pdf-file 680 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
Step-Up Fixed Rate Notes with Auto-Redemption | AT000B015037 | 08/24/2020 |
| EUR 15,000,000 0.43 per cent. Fixed Rate Notes due 2030/Series 218 (pdf-file 545 KB) | AT000B015045 | 09/04/2020 |
Green Inflations-linked Bond II 2020-2027/ | AT000B015052 | 09/16/2020 |
| 0,09 % Festzins-Schuldverschreibungen 2020-2025/Series 223 (pdf-file 560 KB) | AT000B015094 | 12/02/2020 |
| 0,37 % Festzins-Schuldverschreibungen 2021-2033/Series 224 (pdf-file 560 KB) | AT000B015110 | 01/27/2021 |
| 0.03 per cent. Fixed Rate Notes 2021-2026/Series 225 (pdf-file 560 KB) | AT000B015128 | 02/23/2021 |
| Bis zu EUR 300.000.000 0,238 % Gewöhnliche Nicht Nachrangige Berücksichtigungsfähige Schuldverschreibungen fällig 2027/Serie 230 (pdf-file 505 KB) | AT000B015177 | 06/07/2021 |
Issues 2019/2020
| Base prospectus from 07/16/2019 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 7.5 MB) |
| Supplements |
|---|
| First supplement from 08/21/2019 (pdf-file 735 KB) |
| Second supplement from 10/14/2019 (pdf-file 345 KB) |
| Third supplement from 11/15/2019 (pdf-file 700 KB) |
| Fourth supplement from 02/14/2020 (pdf-file 640 KB) |
| Fifth supplement from 03/11/2020 (pdf-file 265 KB) |
| Sixth supplement from 03/24/2020 (pdf-file 680 KB) |
| Seventh supplement from 05/05/2020 (pdf-file 270 KB) |
| Eighth supplement from 05/19/2020 (pdf-file 660 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
| Single callable Step-Up Fixed Rate Notes due September 2029/Series 191 (pdf-file 2 MB) | AT000B014741 | 08/30/2019 |
| Step-Up Fixed Rate Notes with Auto-Redemption V 2019-2030/Series 192 (PDF-File 1 MB) | AT000B014758 | 09/12/2019 |
| EUR 750,000,000 0.375 per cent. Ordinary Senior Eligible Notes 2019-2026/ Series 194, Tranche 1 (pdf-file 1 MB) | XS2055627538 | 09/23/2019 |
| EUR 9,000,000 single callable Step-Up Fixed Rate Notes 2019-2029/Series 198 (PDF-File 2 MB) | AT000B014790 | 10/30/2019 |
| EUR 40,000,000 single callable Step-Up Fixed Rate Notes due December 2029/Series 199 (pdf-file 2 MB) | AT000B014808 | 12/06/2019 |
| 0.70 per cent up to EUR 100,000,000 Fixed Rate Note due December 2029 (pdf-file 2 MB) | AT000B014816 | 12/03/2019 |
Issues 2018/2019
| Base prospectus from 10/12/2018 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 7 MB) |
| Supplements |
|---|
| First supplement from 11/16/2018 (pdf-file 900 KB) |
| Second supplement from 12/21/2018 (pdf-file 270 KB) |
| Third supplement from 02/22/2019 (pdf-file 480 KB) |
| Fourth supplement from 03/26/2019 (pdf-file 399 KB) |
| Fifth supplement from 05/22/2019 (pdf-file 190 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
| Fixed to Floating Interest Rate CMS Notes 2018-2026/Series 163 (pdf-file 595 KB) | AT000B014485 | 11/06/2018 |
| EUR 20,000,000 Inflation-linked Notes due February 2027 Series: 170, Tranche 1 (PDF-File 1 MB) | AT000B014543 | 02/20/2019 |
| Fixed to Floating Rate CMS Notes 2019-2027/ Series 177 (pdf-file 1 MB) Summary German (pdf-file 670 KB) Summary English (pdf-file 625 KB) | AT000B014600 | 03/12/2019 |
Green Inflation-linked Bond 2019-2026/ | AT000B014642 | 09.05.2019 |
| Step-Up Fixed Rate Notes with Auto-Redemption IV 2019-2029/Series 185 (pdf-file 1 MB) Summary English (pdf-file 660 KB) Summary German (pdf-file 700) | AT000B014667 | 05/22/2019 |
Issues 2017/2018
| Base prospectus from 10/13/2017 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 7 MB) |
| Supplements |
|---|
| 1st Supplement from 11/08/2017 (pdf-file 290 KB) |
| 2nd Supplement from 11/22/2017 (pdf-file 435 KB) |
| 3rd Supplement from 04/04/2018 (pdf-file 1 MB) |
| 4th Supplement from 04/16/2018 (pdf-file 430 KB) |
| 5th Supplement from 06/04/2018 (pdf-file 470 KB) |
| 6th supplement from 08/23/2018 (pdf-file 2 MB) |
| Final Terms | ISIN | Date |
|---|---|---|
| Raiffeisen Bank International Inflationsschutz Anleihe V 2018-2026/Serie 136 (pdf-file 560 KB) | AT000B014238 | 01/24/2018 |
| Step-Up Fixed Rate Notes with Auto-Redemption 2018-2028 III/Series 137 (pdf-file 310 KB) | AT000B014246 | 04/11/2018 |
| Raiffeisen Bank International EUR 5,000,000 Zero Coupon Notes due April 2038/Series 138 (pdf-file 887 KB) | AT000B014253 | 04/24/2018 |
| HUF 10.000.000 Nullkupon-Schuldverschreibungen fällig Juli 2028/Serie 153 (pdf-file 890 KB) | AT000B014386 | 07/03/2018 |
| EUR 5.000.000 1,21 % Festverzinsliche Schuldverschreibungen due July 2026/ Series 159 (pdf-file 1 MB) | AT000B014436 | 07/23/2018 |
Fixed to Floating Interest Rate CMS | AT000B014444 | 09/19/2018 |
| EUR 20.000.000 Variabel verzinsliche Schuldverschreibungen mit Mindest- und Höchstzinssatz 2018-2025/Serie 161 (pdf-file 994 KB) | AT000B014451 | 10/09/2018 |
Issues 2016/2017
| Base prospectus from 10/14/2016 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 4 MB) |
| Supplements |
|---|
| 1st supplement from 12/05/2016 (pdf-file 120 KB) |
| 2nd supplement from 02/06/2017 (pdf-file 350 KB) |
| 3rd supplement from 03/28/2017 (pdf-file 820 KB) |
| 4th supplement from 06/13/2017 (pdf-file 540 KB) |
| 5th supplement from 08/18/2017 (pdf-file 465 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
| Stufenzins-Anleihe mit Automatischer Rückzahlung 2016-2026 II/Serie 116 (pdf-file 368 KB) Serie 116 - Final Terms German, English, including summary CZ (pdf-file 364 KB) | AT000B013933 | 10/21/2016 |
Issues 2015/2016
| Base prospectus from 08/04/2016 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 4 MB) |
| Supplements |
|---|
| 1st supplement from 08/27/2015 (pdf-file 100 KB) |
| 2nd supplement from 12/04/2015 (pdf-file 180 KB) |
| 3rd supplement from 01/18/2016 (pdf-file 263 KB) |
| 4th supplement from 02/05/2016 (pdf-file 156 KB) |
| 5th supplement from 04/05/2016 (pdf-file 440 KB) |
| 6th supplement from 05/25/2016 (pdf-file 105 KB) |
| Final Terms | ISIN | Date |
|---|---|---|
| 2016 Stufenzins-Anleihe mit Automatischer Rückzahlung 2016-2026/Serie 104 (pdf-file 465 KB) | AT000B013792 | 04/28/2016 |
Issues 2014/2015
| Base prospectus from 08/19/2014 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 3.5 MB) |
| Supplements |
|---|
| 1st supplement from 08/29/2014 (pdf-file 72 KB) |
| 2nd supplement from 09/25/2014 (pdf-file 50 KB) |
| 3rd supplement from 12/12/2014 (pdf-file 560 KB) |
| 4th supplement from 03/05/2015 (pdf-file 240 KB) |
| 5th supplement from 04/02/2015 (pdf-file 99 KB) |
| 6th supplement from 06/10/2015 (pdf-file 232 KB) |
Issues 2013/2014
| Base prospectus and registration document from 08/20/2015 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme – Summary and Securities Note (pdf-file 3.3 MB) Registration Document (pdf-file 592 KB) |
| Supplements | |
|---|---|
| 1st supplement registration document from 08/30/2013 (pdf-file 83 KB) | |
| 1st supplement summary and securtities note from 08/30/2013 (pdf-file 152 KB) | |
| 2nd supplement registration document from 09/23/2013 (pdf-file 33 KB) | |
| 2nd supplement summary and securtities note from | 09/23/2013 (pdf-file 425 KB) |
| 2rd supplement registration document from 11/29/2013 (pdf-file 170 KB) | |
| 3rd supplement summary and securtities note from 11/29/2013 (pdf-file 180 KB) | |
| 4th supplement from 01/31/2014 (pdf-file 125 KB) | |
| 5th supplement from 02/11/2014 (pdf-file 130 KB) | |
| 6th supplement from 03/20/2014 (pdf-file 140 KB) | |
| 7th supplement from 04/03/2014 (pdf-file 400 KB) | |
| 8th supplement from 06/04/2014 (pdf-file 430 KB) |
Issues 2012/2013
| Base prospectus from 06/26/2012 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 2 MB) |
| Supplements |
|---|
| 1st supplement from 09/042012 (pdf-file 216 KB) |
| 2nd supplement from 12/14/2012 (pdf-file 174 KB) |
| 3rd supplement from 02/28/2013 (pdf-file 41 KB) |
| 4th supplement from 04/12/2013 (pdf-file 68 KB) |
| 5th supplement from 06/05/2013 (pdf-file 40 KB) |
| 6th supplement from 06/11/2013 (pdf-file 154 KB) |
| Base prospectus from 06/26/2012 |
|---|
| EUR 20.000.000.000 Emissionsprogramm (pdf-file 2 MB) |
| Supplements |
|---|
| 1st supplement from 09/04/2012 (pdf-file 72 KB) |
| 1nd supplement from 12/13/2012 (pdf-file 58 KB) |
| 3rd supplement from 02/28/2013 (pdf-file 46 KB) |
| 4th supplement from 04/12/2013 (pdf-file 78 KB) |
| 5th supplement from 06/05/2013 (pdf-file 45 KB) |
| 6th supplement from 06/11/2013 (pdf-file 38 KB) |
Issues 2011/2012
| Base prospectus from 10/19/2011 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 2 MB) |
| Supplements |
|---|
| 1st supplement from 11/07/2011 (pdf-file 103 KB) |
| 2nd supplement from 12/05/2011 (pdf-file 110 KB) |
| 3rd supplement from 04/17/2012 (pdf-file 143 KB) |
| Base prospectus from 10/12/2011 |
|---|
| EUR 20.000.000.000 Emissionsprogramm (pdf-file 2 MB) |
| Supplements |
|---|
| 1st supplement from 11/04/2011 (PDF-File 77 KB) |
| 2nd supplement from 12/05/2011 (PDF-File 179 KB) |
| 3rd supplement from 04/17/2012 (pdf-file 108 KB) |
Issues 2010/2011
| Base prospectus from 10/19/2010 |
|---|
| EUR 25,000,000,000 Debt Issuance Programme (pdf-file 1.5 MB) |
| Supplements |
|---|
| 1st supplement from 04/13/2011 (pdf-file 200 KB) |
| 2nd supplement from 08/30/2011 (pdf-file 106 KB) |
| 3rd supplement from 10/06/2011 (pdf-file 131 KB) |
| Base prospectus from 10/13/2010 |
|---|
| EUR 20.000.000.000 Emissionsprogramm (pdf-file 1,5 MB) |
| Nachträge |
|---|
| 1st supplement from 04/13/2011 (pdf-file 176 KB) |
| 2nd supplement from 08/30/2011 (pdf-file 75 KB) |
| 3rd supplement from 10/06/2011 (pdf-file 101 KB) |
