FR0010871269


ISIN code fr0010871269_en.pdf FR0010871269 (475.33 ko)
Amount of issue 1,000,000,000.00 EUR
Settlement date 17/03/2010
Term perpetual
First call 17/03/2015
Issue price 100%
Yield 9% per annum payable annually, until 17 March 2015 Euribor 12mth + Initial Margin, until 17 March 2020 Euribor 12mth + Initial Margin + 200 bps, thereafter
Nominal rate of interest 9%
Repayment of capital 100% of face value at maturity
Lead manager Barclays Capital, Credit Suisse, Natixis
Listing Luxembourg Exchange