Tier 2 Capital Security EUR 250 million 2.5% Subordinated
Grandfathering | Not applicable |
Nominal amount |
€ 250.000.000 |
Coupon |
2.5% |
Settlement day | 24 September 2019 |
Maturity | 24 September 2039 |
First call date | 24 June 2029 |
Call notice period | Not less than 30 nor more than 60 days |
Issue price | 99.581% |
Documents | Presentation, EMTN Programme, EMTN Supplement, Final terms, Ratings |
Listing | Euronext Dublin |
ISIN | XS2056491660 |