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Subordinated debt

Tier 2

Issue size € 500 million
ISIN XS1315151388
Issue price 99.304%
Coupon 3,75%
Setllement date 5 November 2015
Format 10 year non-call 5 year Tier 2
Coupon reset Prevailing 5-year EUR mid-swap rate +365 bps, if not called
Ratings BBB- (S&P) / Baa3 (Moody’s) / BBB (Fitch)
Documentation Base Prospectus 19 October 2015 XS1315151388 Final terms Tier 2 500m 2015