Tier 1 Capital Security EUR 300 million 5.75% - Perpetual 2025

Nominal amount
€ 300.000.000
Coupon
5.75%
Settlement day 27 October 2025
Maturity Perpetual
First call date 27 January 2035
Call notice period Not less than 10 nor more than 30 days
Issue price 100%
Documents Presentation, Prospectus
Listing Euronext Dublin
ISIN XS3197749479