Investor Presentaiton
Bank of Ireland Medium Term Funding
€25Bn EMTN Programme
Currency:
Maturity:
Structures:
Min Denoms:
Dealers:
Multicurrency
2-30 yrs
€1,000
Fixed and Floating rate notes
Unsecured
€10Bn ACS Programme
Currency:
Maturity:
EUR*
2-30 yrs
Min Denoms:
Structures:
€50,000
Vanilla*
Vanilla & Interest rate linked structures
Callable notes (shortest call 3mths)
The Governor & Company of the Bank of Ireland
ABN Amro
Barclays Capital
BNP Paribas
Citigroup
Credit Suisse First Boston
Deutsche Bank
Goldman Sachs International
HSBC
Davy
JPMorgan
Lehman Brothers
Merrill Lynch International
UBS Investment Bank
Dealers:
Fixed and Floating rate notes
Secured
The Governor & Company of the Bank of Ireland
ABN Amro
Barclays Capital
Citigroup Global Markets
Commerzbank Corporates & Markets
Credit Suisse First Boston
Davy
Deutsche Bank
Dresdner Kleinwort Wasserstein
DZ Bank AG
Goldman Sachs International
HSBC
HVB Corporates and Markets
IXIS Corporate & Investment Banking
Landesbank Baden-Wurttemberg
Merrill Lynch International
Morgan Stanley
Nomura International
SG Corporate and Investment Banking
UBS Investment Bank
West LB AG
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* We will be working towards issuing multi currency and lightly structured notes by
end 2006
Bank of Ireland GroupView entire presentation