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Tier2
Tier 2
ISIN / WKN | DE000A1TNC94/ A1TNC9 |
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Issue Rating | BBB- (Fitch) |
Documentation | Standalone prospectus |
Principal Amount | EUR 300 mn |
Coupon | 4.25% until 18 March 2021, thereafter 5 Y Swaprate + 2.90% p.a. |
Issue Date | 18 March 2014 |
Maturity Date | 18 March 2026 |
Issuer Call Date | 18 March 2021 (one-time call) |
Issue price | 99.64% |
Lead Managers | Deutsche Bank / DZ Bank / HSBC |
Denomination | EUR 1,000 / 1,000 |
Listing | Luxembourg |