Tier 2 Subordinated Fixed Rate Reset Notes EUR 750 million

Issuer  Achmea B.V. 
Issuer type
Subordinated Fixed Rate Reset Notes
Nominal amount
€ 750.000.000
Coupon 5.625%
Settlement day 4 May 2024
Maturity 2 November 2044
Call date Any date from and including 2 May 2034 to and including 2 November 2034 and each Interest Payment Date thereafter.
Issue price 99.188%
Book runners
ABN AMRO Bank N.V., Barclays Bank Ireland PLC, BNP Paribas, Deutsche Bank Aktiengesellschaft, HSBC Continental Europe, NatWest Markets N.V.
Prospectus Download Prospectus
Final terms Download Final terms
Listing Regulated market of Euronext Dublin
ISIN XS2809859536