TERMS AND CONDITIONS Information about the bond
Bond conditions | |
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Bond name | EUR 9.00 BIGBANK SUBORDINATED BOND 25-XXXX |
ISIN | EE0000000560 |
Nominal value | EUR 10,000 |
Issue volume | EUR 3,000,000 |
Issue date and interest commencement date | 31 March 2025 |
Maturity date | Perpetual, without final maturity date |
Interest | 9% per annum fixed rate |
Interest payment frequency | Quarterly, first payment on 15 June 2025 |
Redemption/ payment Basis | Redemption at par |
Final terms | |
Terms and conditions | |
Risk factors description | |