Issuer Call Notice Summary - Banque Fédérative du Crédit Mutuel is issuing a notice to call €250,000,000 Undated Deeply Subordinated Fixed to Floating Rate Notes under its program [3] - The Notes have an ISIN Code: XS0212581564 [3] - The Issuer is exercising its right to call the Notes in whole, as per the Issuer Call provision under Conditions 6 [4] - The Optional Redemption Date is set for 25 February 2025 [5] - The Optional Redemption Amount is EUR 1,000 per Denomination [5] - The notice is addressed to the Noteholders, Luxembourg Stock Exchange, and Amsterdam Stock Exchange [7] Key Dates and Amounts - Issuer Call Date: 25 February 2025 [5] - Optional Redemption Amount: EUR 1,000 per Denomination [5] Addressees - Noteholders of the specified Notes [7] - Luxembourg Stock Exchange [7] - Amsterdam Stock Exchange [7]
BFCM-EMTN Serie n°99- ISIN Code: XS0212581564-Issuer Call Notice
GlobeNewswire·2025-01-23 07:15