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Read more about OP Financial Group's operations, key characteristics, structure, joint liability and the most recent financial performance.
OP Corporate Bank plc is the senior unsecured bond issuing entity of OP Financial Group.
OPMB is responsible for OP Financial Group's secured funding by issuing mortgage-backed covered bonds under its EUR 20 bn Euro Medium Term Covered Note programme.
See basic information and Final Terms of OP Corporate Bank plc's outstanding senior unsecured bonds and other debt instruments.
See OP Corporate Bank plc's Base Prospectuses and Supplements to the Base Prospectuses.
See basic information and Pricing Supplements of OP Corporate Bank plc's outstanding senior unsecured AUD MTN issues.
See OP Mortgage Bank's EMTCN Base Prospectuses and Supplementary Prospectuses as well as basic information and Final Terms of outstanding covered bonds.
See OP Mortgage Bank's Retained Covered Note Programme.
Information on OP Mortgage Bank's Cover Asset Pool including detailed graph reports and ECBC Harmonised Transparency Templates (HTT).