Green Senior Non-Preferred Notes
Disclaimer
The information provided on this website and/or contained in any document accessible on this website does not constitute investment advice
I have read and understood the restrictions set forth above and I will comply with these.
Green SNP Notes
Issue size | € 500 million |
ISIN | XS2308298962 |
Issue price | 99.327% |
Coupon | 0.375% |
Settlement date | 3 March 2021 |
Format | Optional redemption date: 3 December 2027 to 3 March 2028 (3M par call) |
Ratings | Baa2 (Moody’s) / A- (Fitch) |
Documentation | Base Prospectus 15 October 2020 XS2308298962 Final Terms Green SNP Notes |