TERMS AND CONDITIONS Information about the bond

Bond conditions
Bond name
EUR 9.00 BIGBANK SUBORDINATED BOND 24-XXXX
ISIN
EE3300005081
Nominal value
EUR 10,000
Issue volume
EUR 3,450,000
Issue date and interest commencement date
29 November 2024
Maturity date
Perpetual, without final maturity date
Interest
9% per annum fixed rate
Interest payment frequency
Quarterly, first payment on 15 March 2025
Redemption/ payment Basis
Redemption at par
Final terms
Terms and conditions
Risk factors description

For Estonian tax resident individuals Application for postponing tax payments

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