| IDENTIFIERS |
| ISIN |
XS3286678514 |
| Wertpapier |
A460FD |
| Sector |
Utilities |
| Ranking |
Subordinated |
| ECB Eligible |
N |
|
| BOND & COUPON |
| Coupon type |
VARIABLE |
| Calculation |
ACT/ACT |
| Next Cpn Date |
10.02.2027 |
| Bond type |
Hybrid |
| Next Call Date |
10.11.2035 |
|
| ISSUANCE & TRADING |
| ISSUE DATE |
10-02-2026 |
| Issue Size |
500.000.000 |
| Minimum |
100.000 |
| Increment |
100.000 |
| Exchange |
LUXEMBOURG |
|
| RATINGS |
| S & P |
BBB-
|
| Moody's |
Baa2
|
| Fitch |
|
|
| ADDITIONAL INFORMATION |
|
MS+159.6 BPS |
|