Tranche 1: €1bn of tier two capital
Maturity: 23 September, 2031
Call date: 23 September, 2026
Spread at reoffer: mid-swaps plus 155bp
Tranche 2: $500m of sustainability paper
Maturity: 23 March, 2026
Issue/reoffer price: 100.00
Spread at reoffer: US Treasuries plus 88bp
Launched: Tuesday, March 16
Payment date: March 23Joint books: Citi, ...
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