Guarantor: BAT Plc, BAT (Netherlands) BAT Capital
Tranche 1: Eu1.25bn
Maturity: 12 March 2015
Issue/re-offer price: 99.692
Spread at re-offer: 180bp over mid-swaps
Tranche 2: £500m
Maturity: 12 March 2024
Issue/re-offer price: 98.78
Spread at re-offer: 270bp over the 5% 2025 UKT
Launched: Wednesday 5 March
Payment date: 12 March
Joint books: Barclays, Lloyds (sterling only),
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