Tier 2 Capital Security EUR 750 million 4.25% Perpetual
Issuer |
Achmea B.V. |
Issuer type
|
Corporate bonds |
Nominal amount at issuance
|
€ 750,000,000
|
Nominal amount oustanding following tender offer
|
€ 393,493,000
|
Coupon
|
4.25%
|
Settlement day |
4 February 2015
|
Maturity |
Perpetual |
Call date |
4 February 2025 |
Call notice period |
Not less than 30 nor more than 60 days
|
Issue price |
99.968%
|
Book runners
|
Barclays, Deutsche Bank, J.P. Morgan, Rabobank and Royal Bank of Scotland
|
Presentation |
Download Presentation
|
Prospectus |
Download Prospectus |
Final terms |
Download Final terms |
Listing |
Regulated market of Euronext Dublin |
ISIN |
XS1180651587 |