EUR 100m Bermudan Callable due 21 Feb 2040 |
|
| Full Name |
Subordinated Tier 2 Floating Rate Notes |
| Type |
Tier 2 |
| Amount Outstanding |
EUR 55.43m (initial amount EUR 100m) |
| Coupon |
4 * (CMS 10y - CMS 2y) |
| Minimum Coupon |
2.85% |
| Maximum Coupon |
8.50% |
| ISIN |
XS0210781828 |
| Documentation | |
