NOTICE OF EARLY REDEMPTION TO THE BONDHOLDERS OF
EUROPEAN INVESTMENT BANK
(the 'Issuer')
USD 20,000,000 Callable Zero Coupon Bonds due 2 February 2047
(the 'Notes')
ISIN: XS1559435992
NOTICE IS HEREBY GIVEN that, pursuant to condition 19 of the Final Terms, dated 31 January 2017, the Issuer will redeem all of the outstanding Notes at a price of 121.31473739% on 02 February 2022. Interest will cease to accrue from this date.
EUROPEAN INVESTMENT BANK
By: Citibank, N.A., as Principal Paying Agent
Date: 13 January 2022
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EIB - European Investment Bank published this content on 13 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 13 January 2022 14:40:09 UTC.