Tier 2 Fixed Rate Reset Notes EUR 750 million 5.625% - Subordinated
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 |