Green Tier 2 Notes
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Green Tier 2 Notes
Issue size | € 500 million |
ISIN | XS2202902636 |
Issue price | 99.963% |
Coupon | 1.75% |
Settlement date | 22 July 2020 |
Format | 10.25 year non-call 5.25 year Tier 2 |
Coupon reset | Prevailing 5-year EUR mid-swap rate +210 bps, if not called |
Ratings | Baa2 (Moody’s) / BBB (Fitch) |
Documentation | Base Prospectus 17 October 2019 XS2202902636 Final Terms Green Tier 2 |