Subordinated bonds

Comprehensive information on all of our subordinated bonds.
Tier2 24-2034
Tier2 23-2033
Tier2 22-2033
Tier2 22-2032
AT1 Jun 2024
AT1 Aug 2023
AT1 May 2023
AT1 Mar 2023

TERMS AND CONDITIONS Information about the bond

Bond conditions
Bond name
Nasdaq Tallinn, Baltic Bonds List
Nominal value
EUR 1,000
Issue volume
EUR 20,000,000
Settlement date
21 September 2022
Maturity date
21 September 2032
Annual interest rate (fixed)
8% (30/360)
Interest payment frequency
Quarterly, each year on or around 21 September, 21 December, 21 March and 21 June
Final terms
Prospectus Summary
This communication is an advertisement for the purposes of the Prospectus Regulation (EU) 2017/1129 and is not meant for distribution in the United States or any other jurisdiction where it would be unlawful. Before making an investment decision, you should read the prospectus approved by the Estonian Financial Supervision Authority (the “EFSA”), it’s summary and the terms and conditions of the bonds in order to fully understand the potential risks and rewards associated with the decision of investing into unsecured subordinated bonds of Bigbank AS (the “Issuer”) and consult with an expert if necessary. The bonds of the Issuer are offered publicly only in Estonia, Latvia and Lithuania. The prospectus is available on the websites of the Issuer and the EFSA at respectively. The approval of the prospectus by the EFSA should not be understood as an endorsement of the bonds.

For Estonian tax resident individuals Application for postponing tax payments

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