Form DSTRBRPT ASIAN DEVELOPMENT BANK

July 29, 2026 6:08 AM EDT

Your Ref: SEC File No. 83-2
Re: Section 11 (a) of the
Asian Development Bank – Regulation AD Rule 2(a)

SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

Periodic Report

Pursuant to Rule 2 (a) of Regulation AD adopted pursuant to Section 11 (a) of the Asian Development Bank Act.

For the Fiscal quarter ended 30 June 2026

ASIAN DEVELOPMENT BANK
6 ADB Avenue Mandaluyong City
1550 Metro Manila, Philippines

  (1)
Information as to purchase or sale by ADB of its primary obligations during the quarter:

Summary information in respect of purchases and sales of ADB's primary obligations in the second quarter of 2026 is set out in Appendices A and B.


(2)
Copies of ADB’s regular quarterly financial statements:

ADB’s financial statements for the quarter ended 30 June 2026 have not been approved by the ADB’s Board of Directors but will be provided following approval.

(3)
Copies of any material modifications or amendments during such quarter of any exhibits previously filed with the Commission under any statute:

There were no material modifications or amendments of any exhibits previously filed with the Commission.



ASIAN DEVELOPMENT BANK
TREASURY DEPARTMENT
FUNDING DIVISION
APPENDIX A

SUMMARY OF NEW BORROWINGS 
FOR THE SECOND QUARTER 2026

SECID
ISSUE DATE
MATURITY DATE
DESCRIPTION
CCY
PRINCIPAL AMOUNT






2365_GMTN2052_00_2
8-May-26
8-May-36
5.36% AUD FIXED RATE CALLABLE NOTES 26/36
AUD
70,000,000.00
     
AUD TOTAL
 
70,000,000.00
           
2335_GMTN2019_00_1
16-Apr-26
16-Apr-46
1.0475% CHF FIXED RATE NOTE 26/46
CHF
135,000,000.00
     
CHF TOTAL
 
135,000,000.00
           
2375_RNP_00
10-Jun-2026
10-Jun-2028
1.46% CNY FIXED RATE NOTE 26/28
CNY
5,000,000,000.00
     
CNY TOTAL
 
5,000,000,000.00
           
2370_GMTN2055_00_2
12-May-2026
14-May-2029
2.6% DKK FIXED RATE NOTE 26/29
DKK
1,000,000,000.00
     
DKK TOTAL
 
1,000,000,000.00
           
2352_GMTN2037_00_2
14-Apr-26
14-Apr-27
18.5% EGP FIXED RATE DUAL CURRENCY NOTE 26/27
EGP
1,350,000,000.00
2363_GMTN2050_00_2
7-May-26
7-Nov-27
17.45% EGP FIXED RATE DUAL CURRENCY NOTE 26/27
EGP
1,300,000,000.00
     
EGP TOTAL
 
2,650,000,000.00
           
2361_GMTN2048_00_2
7-May-26
7-May-65
EUR ZERO COUPON/ CALLABLE 26/65
EUR
60,000,000.00
2376_GMTN2058_00_1
17-Jun-26
17-Jun-33
3.1% EUR FIXED RATE NOTE 26/33
EUR
1,250,000,000.00
     
EUR TOTAL
 
1,310,000,000.00
           
2372_NMTN_00
13-May-26
13-May-31
GEL FLOATING RATE NOTES AMORTIZING 26/31
GEL
269,080,000.00
     
GEL TOTAL
 
269,080,000.00
           
2349_GMTN2033_00_2
13-Apr-26
13-Apr-27
2.6% HKD FIXED RATE NOTE 26/27
HKD
390,000,000.00
2351_GMTN2036_00_2
14-Apr-26
14-Apr-27
2.54% HKD FIXED RATE NOTE 26/27
HKD
500,000,000.00
2353_GMTN2039_00_2
17-Apr-26
17-Apr-28
2.58% HKD FIXED RATE NOTE 26/28
HKD
500,000,000.00
2354_GMTN2040_00_2
21-Apr-26
21-Apr-28
2.58% HKD FIXED RATE NOTE 26/28
HKD
500,000,000.00
2356_GMTN2041_00_2
24-Apr-26
24-Apr-31
2.707% HKD FIXED RATE NOTE 26/31
HKD
400,000,000.00
2357_GMTN2042_00_2
23-Apr-26
24-Apr-28
2.72% HKD FIXED RATE NOTE 26/28
HKD
400,000,000.00
2379_GMTN2061_00_2
30-Jun-26
30-Jun-28
3.17% HKD FIXED RATE NOTE 26/28
HKD
500,000,000.00
2380_GMTN2062_00_2
30-Jun-26
30-Jun-28
3.173% HKD FIXED RATE NOTE 26/28
HKD
500,000,000.00
     
HKD TOTAL
 
3,690,000,000.00
           
2374_GMTN2057_00_1
1-Jun-26
16-Oct-29
16.5% KZT FIXED RATE / AMORTIZING NOTES 26/29
KZT
20,000,000,000.00
     
KZT TOTAL
 
20,000,000,000.00
           
2360_GMTN2045_00_2
28-Apr-26
28-May-27
13.5% NGN FIXED RATE DUAL CURRENCY NOTE 26/27
NGN
34,000,000,000.00
     
NGN TOTAL
 
34,000,000,000.00
           
2371_NZDM0019_00_1
18-May-26
18-May-33
4.375% NZD FIXED RATE NOTE 26/33
NZD
1,300,000,000.00
     
NZD TOTAL
 
1,300,000,000.00
           
2359_GMTN2044_00_2
23-Apr-26
23-Apr-29
2.665% SEK FIXED RATE NOTE 26/29
SEK
1,000,000,000.00
     
SEK TOTAL
 
1,000,000,000.00
           
2369_GMTN2054_00_2
12-May-26
12-May-29
10.3% TJS FIXED RATE DUAL CURRENCY/AMORTIZING NOTES 26/29
TJS
47,012,500.00
     
TJS TOTAL
 
47,012,500.00



SECID
ISSUE DATE
MATURITY DATE
DESCRIPTION
CCY
PRINCIPAL AMOUNT
2334_GMTN2022_00_2
1-Apr-26
1-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2336_GMTN2020_00_2
1-Apr-26
1-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2337_GMTN2026_00_2
10-Apr-26
10-Apr-56
USD ZERO COUPON/ CALLABLE 26/56
USD
200,000,000.00
2338_GMTN2027_00_2
1-Apr-26
1-Apr-36
4.55% USD FIXED RATE CALLABLE NOTES 26/36
USD
50,000,000.00
2339_GMTN2021_00_2
1-Apr-26
1-Apr-31
4.15% USD FIXED RATE CALLABLE NOTES 26/31
USD
50,000,000.00
2340_GMTN2023_00_2
1-Apr-26
1-Apr-36
4.63% USD FIXED RATE CALLABLE NOTES 26/36
USD
50,000,000.00
2341_GMTN2024_00_2
1-Apr-26
1-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2342_GMTN2025_00_2
1-Apr-26
1-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2343_GMTN2028_00_2
10-Apr-26
10-Apr-31
4.17% USD FIXED RATE CALLABLE NOTES 26/31
USD
50,000,000.00
2344_GMTN2031_00_2
10-Apr-26
10-Apr-56
USD ZERO COUPON/ CALLABLE 26/56
USD
200,000,000.00
2345_GMTN2029_00_2
10-Apr-26
10-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2346_GMTN2030_00_2
10-Apr-26
10-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2347_GMTN2032_00_2
13-Apr-26
13-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2348_GMTN2035_00_2
14-Apr-26
14-Apr-56
USD ZERO COUPON/ CALLABLE 26/56
USD
200,000,000.00
2350_GMTN2034_00_2
13-Apr-26
13-Apr-41
USD ZERO COUPON/ CALLABLE 26/41
USD
120,000,000.00
2355_GMTN2038_00_2
15-Apr-26
15-Apr-36
4.36% USD FIXED RATE CALLABLE NOTES 26/36
USD
100,000,000.00
2358_GMTN2043_00_2
20-Apr-26
20-Apr-36
4.43% USD FIXED RATE CALLABLE NOTES 26/36
USD
150,000,000.00
2362_GMTN2049_00_2
7-May-26
7-May-33
4.1% USD FIXED RATE CALLABLE NOTES 26/33
USD
50,000,000.00
2364_GMTN2051_00_2
7-May-26
7-May-33
4.1% USD FIXED RATE CALLABLE NOTES 26/33
USD
70,000,000.00
2366_GMTN2053_00_2
8-May-26
8-May-36
4.43% USD FIXED RATE CALLABLE NOTES 26/36
USD
50,000,000.00
2367_GMTN2046_00_1
30-Apr-26
30-May-29
USD FLOATING RATE DISASTER RELIEF CAPITAL AT RISK NOTES 26/29
USD
80,000,000.00
2368_GMTN2047_00_1
30-Apr-26
30-May-29
USD FLOATING RATE DISASTER RELIEF CAPITAL AT RISK NOTES 26/29
USD
80,000,000.00
2373_GMTN2056_00_1
28-May-26
28-May-31
4.25% USD FIXED RATE/GLOBAL 26/31
USD
4,000,000,000.00
2377_GMTN2059_00_1
23-Jun-26
23-Jun-32
USD FLOATING RATE/GLOBAL 26/32
USD
1,000,000,000.00
2378_GMTN2060_00_2
24-Jun-26
24-Jun-29
4.154% USD FIXED RATE NOTE 26/29
USD
100,000,000.00
     
USD TOTAL
 
7,440,000,000.00


ASIAN DEVELOPMENT BANK
TREASURY DEPARTMENT
FUNDING DIVISION
APPENDIX B

SUMMARY OF REDEMPTIONS
 FOR THE SECOND QUARTER 2026

CCY
SECID MATURITY DATE REDEMPTION DATE DESCRIPTION
EARLY REDEMPTION
 
FINAL REDEMPTION
                 
AUD
               
AUD 1470_AUDM029_00_1
5-May-26
5-May-26
0.5% AUD FIXED RATE NOTE 20/26

0.00
 
750,000,000.00
     
AUD - TOTAL
0.00
   
750,000,000.00
                 
AZN
               
AZN 1869_GMTN1561_00_1
4-Dec-26
4-Jun-26
6.25% AZN FIXED RATE DUAL CURRENCY/AMORTIZING NOTES 23/26

3,625,000.00
 
a
0.00

     
AZN - TOTAL
3,625,000.00
   
0.00
EGP
               
EGP 2101_GMTN1788_00_2
16-Apr-26
16-Apr-26
19.75% EGP FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
1,500,000,000.00
EGP 2119_GMTN1806_00_2
14-May-26
14-May-26
20% EGP FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
510,000,000.00
EGP 2133_GMTN1820_00_2
4-Jun-26
4-Jun-26
20% EGP FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
1,500,000,000.00
       
EGP - TOTAL
0.00
   
3,510,000,000.00
                 
GBP
               
GBP 1677_GMTN1382_00_2
13-May-26
13-May-26
2.2% GBP FIXED RATE NOTE 22/26
 
0.00
   
100,000,000.00
GBP 1695_GMTN1397_00_2
24-Jun-26
24-Jun-26
2.8% GBP FIXED RATE CALLABLE NOTES 22/26
 
0.00
   
100,000,000.00
       
GBP- TOTAL
0.00
   
200,000,000.00
HKD
               
HKD 1821_GMTN1518_00_2
24-Apr-26
24-Apr-26
3.3% HKD FIXED RATE NOTE 23/26
 
0.00
   
200,000,000.00
HKD 1918_GMTN1608_00_2
8-Apr-26
8-Apr-26
4.12% HKD FIXED RATE NOTE 24/26
 
0.00
   
200,000,000.00
HKD 1919_GMTN1609_00_2
9-Apr-26
9-Apr-26
4.05% HKD FIXED RATE NOTE 24/26
 
0.00
   
100,000,000.00
HKD 1924_GMTN1613_00_2
25-Apr-26
25-Apr-26
4.22% HKD FIXED RATE NOTE 24/26
 
0.00
   
200,000,000.00
HKD 1926_GMTN1615_00_2
24-Apr-26
24-Apr-26
4.35% HKD FIXED RATE NOTE 24/26
 
0.00
   
200,000,000.00
HKD 1927_GMTN1614_00_2
24-Apr-26
24-Apr-26
4.26% HKD FIXED RATE NOTE 24/26
 
0.00
   
200,000,000.00
HKD 1928_GMTN1618_00_2
2-May-26
2-May-26
4.3% HKD FIXED RATE NOTE 24/26
 
0.00
   
100,000,000.00
HKD 1930_GMTN1621_00_2
13-May-26
13-May-26
4.176% HKD FIXED RATE NOTE 24/26
 
0.00
   
200,000,000.00
HKD 1932_GMTN1622_00_2
13-May-26
13-May-26
4.32% HKD FIXED RATE NOTE 24/26
 
0.00
   
100,000,000.00
HKD 1937_GMTN1627_00_2
20-May-26
20-May-26
4.34% HKD FIXED RATE NOTE 24/26
 
0.00
   
100,000,000.00
HKD 1942_GMTN1632_00_2
4-Jun-26
4-Jun-26
4.247% HKD FIXED RATE NOTE 24/26
 
0.00
   
300,000,000.00

     
HKD - TOTAL
0.00
   
1,900,000,000.00
KJS
               
KJS 1993_GMTN1683_00_2
18-Nov-27
18-May-26
10.5% KGS FIXED RATE DUAL CURRENCY/AMORTIZING NOTES 24/27

106,875,000.00
 
a
0.00

     
KJS - TOTAL
106,875,000.00
   
0.00
MNT
MNT 2099_GMTN1785_00_1
12-Apr-30
13-Apr-26
10% MNT FIXED RATE DUAL CURRENCY/AMORTIZING NOTES 25/30
 
5,077,727,000.00
 
a
0.00

     
MNT - TOTAL
5,077,727,000.00
   
0.00
                 
NGN
               
NGN 2098_GMTN1786_00_2
16-Apr-26
16-Apr-26
20% NGN FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
32,000,000,000.00
NGN 2120_GMTN1807_00_2
15-May-26
15-May-26
22% NGN FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
35,000,000,000.00
NGN 2120_GMTN1807_01_2
15-May-26
15-May-26
22% NGN FIXED RATE DUAL CURRENCY NOTE 25/26
 
0.00
   
25,000,000,000.00

     
NGN - TOTAL
0.00
   
92,000,000,000.00
NOK
               
NOK 1581_GMTN1292_00_1
18-Jun-26
18-Jun-26
1.342% NOK FIXED RATE NOTE 21/26
 
0.00
   
2,000,000,000.00

     
NOK - TOTAL
0.00
   
2,000,000,000.00
NZD
               
NZD 1335_NZDM0009_00_1
16-Apr-26
16-Apr-26
2.375% NZD FIXED RATE NOTE 19/26
 
0.00
   
200,000,000.00

     
NZD - TOTAL
0.00
   
200,000,000.00
RUB
               
RUB 1566_GMTN1276_00_2
7-May-26
7-May-26
5% RUB FIXED RATE NOTE 21/26
 
0.00
   
3,000,000,000.00

     
RUB - TOTAL
0.00
   
3,000,000,000.00
USD
       
     
USD 1120_GMTN0855_00_1
24-Apr-26
24-Apr-26
2% USD FIXED RATE/GLOBAL 16/26
 
0.00
   
1,000,000,000.00
USD 1559_GMTN1271_00_1
14-Apr-26
14-Apr-26
1% USD FIXED RATE/GLOBAL 21/26
 
0.00
   
5,000,000,000.00
USD 1582_GMTN1293_00_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 21/26
 
0.00
   
250,000,000.00
USD 1582_GMTN1293_01_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 21/26
 
0.00
   
150,000,000.00
USD 1582_GMTN1293_02_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 21/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_03_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 21/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_04_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 21/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_05_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 22/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_06_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 22/26
 
0.00
   
200,000,000.00
USD 1582_GMTN1293_07_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 23/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_08_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 23/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_09_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 23/26
 
0.00
   
100,000,000.00
USD 1582_GMTN1293_10_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 23/26
 
0.00
   
50,000,000.00
USD 1582_GMTN1293_11_2
16-Jun-26
16-Jun-26
USD FLOATING RATE NOTES 23/26
 
0.00
   
100,000,000.00
USD 1940_GMTN1630_00_1
21-May-26
21-May-26
4.875% USD FIXED RATE/GLOBAL 24/26
 
0.00
   
3,500,000,000.00
USD 1921_GMTN1610_00_2
12-Apr-29
13-Apr-26
4.95% USD FIXED RATE CALLABLE NOTES 24/29
 
300,000,000.00
 
b
0.00
USD 1931_GMTN1620_00_2
9-May-34
11-May-26
5.81% USD FIXED RATE CALLABLE NOTES 24/34
 
50,000,000.00
 
b
0.00
USD 1933_GMTN1623_00_2
13-May-34
13-May-26
5.847% USD FIXED RATE CALLABLE NOTES 24/34
 
63,000,000.00
 
b
0.00
USD 1935_GMTN1625_00_2
15-May-34
15-May-26
5.82% USD FIXED RATE CALLABLE NOTES 24/34
 
50,000,000.00
 
b
0.00
USD 1936_GMTN1626_00_2
15-May-34
15-May-26
5.81% USD FIXED RATE CALLABLE NOTES 24/34
 
50,000,000.00
 
b
0.00
USD 2129_GMTN1816_00_2
29-May-35
29-May-26
5.07% USD FIXED RATE CALLABLE NOTES 25/35
 
100,000,000.00
 
b
0.00
USD 1835_GMTN1530_00_2
30-Dec-26
30-Jun-26
4.375% USD FIXED RATE CALLABLE NOTES 23/26
 
100,000,000.00
 
b
0.00

     
USD - TOTAL
713,000,000.00
   
10,950,000,000.00

 
a
Amortized notional on indicated Redemption Date

b
Fully redeemed on indicated Redemption Date





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