Subordinated bonds

Comprehensive information on all our subordinated bonds.

TERMS AND CONDITIONS Information about the bond

Information table about the bond
Bond conditions
Bond name
EUR 9.00 BIGBANK SUBORDINATED BONDS 2025
ISIN
EE0000001329
Nominal value
EUR 10,000
Issue volume
EUR 2,440,000
Issue date and interest commencement date
29 May 2025
Maturity date
Perpetual, without final maturity date
Interest
9% per annum fixed rate
Interest payment frequency
Quarterly, first payment on 15 September 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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Investor webinars

Join our investor webinars for an in-depth look at Bigbank AS's previous subordinated bonds offerings through video presentations.
TIER 2 (09.10.2024)
Investor webinar
TIER 2 (15.05.2024)
Investor webinar