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