RBI USD 3.25% FIXED RATE BOND 2029
Bid98,00 %*
12.06.2026 18:00:00.281 UTC
Ask99,75 %*
12.06.2026 18:00:00.281 UTC
chg. 1D+0,140 (+0,14 %)
12.06.2026 18:00:00.281 UTC
* Our classic bonds are quoted excluding accrued interest ("clean price").

Name
RBI USD 3.25% FIXED RATE BOND 2029
ISIN / WKN
AT0000A3UHX9 / RC1L3L
Max. yield p.a.
3,34 %
Tradeable unit/nominal value
USD 100

About the term

Issue date
29.05.2026
Maturity date
29.05.2029
Please take note of the Legal and Risk Disclaimer in the Product Folder and/or the Factsheet.

Product classification
Investment Product with Capital Protection
Classical Bond Type
Bonds with fixed interest rate
Issue price
100,00 %
Spread homogenised
-
Spread (in %)
1,79 %
Product currency
USD
Taxation
Capital Gains Tax
Public offer possible in
Austria, Germany, Italy, Hungary, Poland, Czech Republic, Slovakia, Bulgaria, Croatia, Liechtenstein, Romania, Slovenia
Listing
Stuttgart
Past performance is no reliable indicator of future results. Less than five years have passed since the launch of this certificate.
TRADING HOURS
Products on Austrian underlyings

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Products on international underlyings and commodities

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Products on underlyings from CEE and Eastern Europe 

    - Czech Republic, Slovenia

09:15 – 16:30

    - Poland, Hungary, Romania, and other markets in Eastern Europe

09:15 – 16:50

INFORMATION

Monday – Friday
08:00 – 17:30

T: +431717075454
E: info(at)raiffeisencertificates.com