Amount: Eu500m subordinated lower tier two capital
Maturity: 20 January 2017
Issue fixed re-offer price: 98.977
Spread at re-offer: 27bp over mid-swaps
Launch date: Tuesday 12 December 2006
Payment date: 22 December
Lead mgr: Natixis
Bookrunner's comment:We surfed on the back of the demand we saw for the CNP transaction. While executing CNP, ...
Please take a trial or subscribe to access this content.
Contact Mark Goodes to discuss your access: email@example.com