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Canadian covered bond program — TD

Covered bonds that are available from TD Bank.

Issuer Name The Toronto-Dominion Bank
Program Name TD Global Legislative Covered Bond Programme
Guarantor Entity’s Name [and the name of its general partner(s) or trustees(s)] Guarantor Entity — TD Covered Bond (Legislative) Guarantor Limited Partnership
Managing General Partner — TD Covered Bond (Legislative) GP Inc.
Liquidation General Partner — 8638080 Canada Inc.
Counterparty(s) to the Covered Bond Collateral Hedge The Toronto-Dominion Bank
Eligible Loan Servicer(s) The Toronto-Dominion Bank
Cash Manager The Toronto-Dominion Bank
Cover Pool Monitor Ernst & Young LLP
Custodian Computershare Trust Company of Canada
Bond Trustee Computershare Trust Company of Canada
Paying Agent Citibank, N.A. and Citibank, N.A. London Branch
Portfolio Manager N/A
Account Bank / Guaranteed Deposit Account Provider The Toronto-Dominion Bank
Standby Account Bank / Standby Guaranteed Deposit Account Provider Bank of Montreal
Minimum Asset Percentage 80.0
Maximum Asset Percentage 97.0
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Bond issuance parameters

Registration Date June 6, 2018
Date of Issue June 6, 2018
Series Designation CBL20
Issue Currency EUR
Nominal Amount 1,000,000,000
ISIN XS1832967019
Hard Bullet/Soft Bullet Soft
Maturity Date June 6, 2025
Extended Maturity Date (if Soft Bullet) June 6, 2026
Coupon Rate (%) 0.625
Interest Payment Date(s)/Frequency Annual
Listing Authority (if applicable) UKLA
Other Material Characteristics as Applicable NA
Registration Date July 19, 2019
Date of Issue July 19, 2019
Series Designation CBL28
Issue Currency EUR
Nominal Amount 1,250,000,000
ISIN XS2028803984
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 19, 2027
Extended Maturity Date (if Soft Bullet) July 19, 2028
Coupon Rate (%) 0.10
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 26, 2020
Date of Issue March 26, 2020
Series Designation CBL29
Issue Currency EUR
Nominal Amount 1,000,000,000
ISIN XS2146198739
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 26, 2024
Extended Maturity Date (if Soft Bullet) March 26, 2025
Coupon Rate (%) 0.25
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 24, 2022
Date of Issue March 24, 2022
Series Designation CBL34
Issue Currency EUR
Nominal Amount 2,500,000,000
ISIN XS2461741212
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 24, 2027
Extended Maturity Date (if Soft Bullet) March 24, 2028
Coupon Rate (%) 0.864
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date April 20, 2022
Date of Issue April 20, 2022
Series Designation CBL35
Issue Currency USD
Nominal Amount 2,000,000,000
ISIN 144A: US891160TB95
Reg S: USC8888MTC21
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 20, 2027
Extended Maturity Date (if Soft Bullet) April 20, 2028
Coupon Rate (%) 3.301
Interest Payment Date(s)/Frequency Semi-annual
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date April 22, 2022
Date of Issue April 22, 2022
Series Designation CBL36
Issue Currency GBP
Nominal Amount 1,000,000,000
ISIN XS2470846812
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 22, 2025
Extended Maturity Date (if Soft Bullet) April 22, 2026
Coupon Rate (%) SONIA + 0.430
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date July 26, 2022
Date of Issue July 26, 2022
Series Designation CBL37
Issue Currency USD
Nominal Amount 2,000,000,000
ISIN 144A: US891160TC78
Reg S: USC8888MTD04
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 25, 2025
Extended Maturity Date (if Soft Bullet) July 25, 2026
Coupon Rate (%) 3.815
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date July 28, 2022
Date of Issue July 28, 2022
Series Designation CBL38
Issue Currency EUR
Nominal Amount 2,500,000,000
ISIN XS2508690612
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 28, 2025
Extended Maturity Date (if Soft Bullet) July 28, 2026
Coupon Rate (%) 1.707
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date July 28, 2022
Date of Issue July 28, 2022
Series Designation CBL39
Issue Currency AUD
Nominal Amount 1,550,000,000
ISIN AU3FN0070173
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date 28 July, 2025
Extended Maturity Date (if Soft Bullet) 28 July, 2026
Coupon Rate (%) 3 month BBSW + 90 bps
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date July 28, 2022
Date of Issue July 28, 2022
Series Designation CBL40
Issue Currency AUD
Nominal Amount 850,000,000
ISIN AU3CB0291136
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 28, 2025
Extended Maturity Date (if Soft Bullet) July 28, 2026
Coupon Rate (%) 4.500
Interest Payment Date(s)/Frequency Semi-Annually
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date October 27, 2022
Date of Issue October 27, 2022
Series Designation CBL41
Issue Currency EUR
Nominal Amount 1,250,000,000
ISIN XS2549702475
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 27, 2026
Extended Maturity Date (if Soft Bullet) April 27, 2027
Coupon Rate (%) 3.25
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 13, 2023
Date of Issue March 13, 2023
Series Designation CBL42
Issue Currency EUR
Nominal Amount 3,500,000,000
ISIN XS2597408439
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 13, 2026
Extended Maturity Date (if Soft Bullet) March 13, 2027
Coupon Rate (%) 3.879
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 13, 2023
Date of Issue March 13, 2023
Series Designation CBL43
Issue Currency EUR
Nominal Amount 1,500,000,000
ISIN XS2597408272
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 13, 2030
Extended Maturity Date (if Soft Bullet) March 13, 2031
Coupon Rate (%) 3.715
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 16, 2023
Date of Issue March 16, 2023
Series Designation CBL44
Issue Currency AUD
Nominal Amount 950,000,000
ISIN AU3CB0297752
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 16, 2026
Extended Maturity Date (if Soft Bullet) March 16, 2027
Coupon Rate (%) 4.5
Interest Payment Date(s)/Frequency Semi-annual
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date March 16, 2023
Date of Issue March 16, 2023
Series Designation CBL45
Issue Currency AUD
Nominal Amount 1,550,000,000
ISIN AU3FN0076196
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 16, 2026
Extended Maturity Date (if Soft Bullet) March 16, 2027
Coupon Rate (%) 3mBBSW + 70 bps
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date June 6, 2023
Date of Issue June 6, 2023
Series Designation CBL46
Issue Currency USD
Nominal Amount 1,600,000,000
ISIN 144A: US891160TD51
Reg S: USC8888MBN77
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 5, 2026
Extended Maturity Date (if Soft Bullet) June 5, 2027
Coupon Rate (%) 4.701
Interest Payment Date(s)/Frequency Semi-Annual
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date June 7, 2023
Date of Issue June 7, 2023
Series Designation CBL47
Issue Currency CAD
Nominal Amount 1,250,000,000
ISIN 89117GD53
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 8, 2026
Extended Maturity Date (if Soft Bullet) June 8, 2027
Coupon Rate (%) CORRA + 0.65
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date June 12, 2023
Date of Issue June 12, 2023
Series Designation CBL48
Issue Currency GBP
Nominal Amount 850,000,000
ISIN XS2634826205
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 12, 2028
Extended Maturity Date (if Soft Bullet) June 12, 2029
Coupon Rate (%) SONIA + 0.70
Interest Payment Date(s)/Frequency Monthly
Listing Authority (if applicable) FCA
Other Material Characteristics as Applicable NA
Registration Date 28 June 2023
Date of Issue 28 June 2023
Series Designation CBL49
Issue Currency AUD
Nominal Amount 1,500,000,000
ISIN AU3FN0079158
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date 24 June 2024
Extended Maturity Date (if Soft Bullet) 24 June 2025
Coupon Rate (%) 3mBBSW + 0.40
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date June 29, 2023
Date of Issue June 29, 2023
Series Designation CBL50
Issue Currency USD
Nominal Amount 100,000,000
ISIN USC8888MA402
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date January 9, 2026
Extended Maturity Date (if Soft Bullet) January 9, 2027
Coupon Rate (%) SOFR + 0.68
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 18, 2023
Date of Issue September 18, 2023
Series Designation CBL51
Issue Currency CHF
Nominal Amount 315,000,000
ISIN CH1290870885
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 18, 2026
Extended Maturity Date (if Soft Bullet) September 18, 2027
Coupon Rate (%) 1.97
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) SIX Swiss
Other Material Characteristics as Applicable NA
Registration Date September 18, 2023
Date of Issue September 18, 2023
Series Designation CBL52
Issue Currency CHF
Nominal Amount 185,000,000
ISIN CH1290870893
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 18, 2029
Extended Maturity Date (if Soft Bullet) September 18, 2030
Coupon Rate (%) 1.945
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) SIX Swiss
Other Material Characteristics as Applicable NA
Registration Date September 8, 2023
Date of Issue September 8, 2023
Series Designation CBL53
Issue Currency EUR
Nominal Amount 750,000,000
ISIN XS2676780658
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 8, 2026
Extended Maturity Date (if Soft Bullet) September 8, 2027
Coupon Rate (%) 3m EURIBOR + 0.36
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 8, 2023
Date of Issue September 8, 2023
Series Designation CBL54
Issue Currency EUR
Nominal Amount 1,500,000,000
ISIN XS2676778835
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 8, 2026
Extended Maturity Date (if Soft Bullet) September 8, 2027
Coupon Rate (%) 3.765
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 8, 2023
Date of Issue September 8, 2023
Series Designation CBL55
Issue Currency EUR
Nominal Amount 1,000,000,000
ISIN XS2676779304
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 8, 2031
Extended Maturity Date (if Soft Bullet) September 8, 2032
Coupon Rate (%) 3.666
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 13, 2023
Date of Issue September 13, 2023
Series Designation CBL56
Issue Currency USD
Nominal Amount 1,750,000,000
ISIN US89117GY359
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 13, 2028
Extended Maturity Date (if Soft Bullet) September 13, 2029
Coupon Rate (%) 5.141
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 14, 2023
Date of Issue September 14, 2023
Series Designation CBL57
Issue Currency USD
Nominal Amount 200,000,000
ISIN USC8888MA576
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date August 24, 2028
Extended Maturity Date (if Soft Bullet) August 24, 2029
Coupon Rate (%) SOFR + 0.92
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date September 15, 2023
Date of Issue September 15, 2023
Series Designation CBL58
Issue Currency AUD
Nominal Amount 1,300,000,000
ISIN AU3FN0081188
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 15, 2028
Extended Maturity Date (if Soft Bullet) September 15, 2029
Coupon Rate (%) 3m BBSW + 0.97
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date September 15, 2023
Date of Issue September 15, 2023
Series Designation CBL59
Issue Currency AUD
Nominal Amount 700,000,000
ISIN AU3CB0302644
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 15, 2028
Extended Maturity Date (if Soft Bullet) September 15, 2029
Coupon Rate (%) 4.95
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date September 25, 2023
Date of Issue September 25, 2023
Series Designation CBL60
Issue Currency EUR
Nominal Amount 30,000,000
ISIN XS2693859360
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 25, 2041
Extended Maturity Date (if Soft Bullet) September 25, 2042
Coupon Rate (%) 3.714
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date October 13, 2023
Date of Issue October 13, 2023
Series Designation CBL61
Issue Currency EUR
Nominal Amount 118,500,000
ISIN XS2702840351
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 13, 2033
Extended Maturity Date (if Soft Bullet) October 13, 2034
Coupon Rate (%) 3.979
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date October 20, 2023
Date of Issue October 20, 2023
Series Designation CBL62
Issue Currency USD
Nominal Amount 3,500,000,000
ISIN US89116BAA70
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 20, 2028
Extended Maturity Date (if Soft Bullet) October 20, 2029
Coupon Rate (%) SOFR +0.92
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date January 18, 2024
Date of Issue January 18, 2024
Series Designation CBL63
Issue Currency GBP
Nominal Amount 1,250,000,000
ISIN XS2749463936
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date January 18, 2027
Extended Maturity Date (if Soft Bullet) January 18, 2028
Coupon Rate (%) SONIA+0.67
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date January 30, 2024
Date of Issue January 30, 2024
Series Designation CBL64
Issue Currency CHF
Nominal Amount 265,000,000
ISIN CH1321481454
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date January 30, 2029
Extended Maturity Date (if Soft Bullet) January 30, 2030
Coupon Rate (%) 1.4825
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) SIX
Other Material Characteristics as Applicable NA
Registration Date January 29, 2024
Date of Issue January 29, 2024
Series Designation CBL65
Issue Currency CAD
Nominal Amount 2,000,000,000
ISIN CA89117G8T70
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date January 29, 2027
Extended Maturity Date (if Soft Bullet) January 29, 2028
Coupon Rate (%) 4.516
Interest Payment Date(s)/Frequency Semi-annual
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date March 11 2024
Date of Issue March 11 2024
Series Designation CBL66
Issue Currency EUR
Nominal Amount 2,000,000,000
ISIN XS2782117118
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date February 16 2027
Extended Maturity Date (if Soft Bullet) February 16 2028
Coupon Rate (%) 3m EURIBOR+0.35
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date March 11 2024
Date of Issue March 11 2024
Series Designation CBL67
Issue Currency EUR
Nominal Amount 2,500,000,000
ISIN XS2782117464
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date February 16 2029
Extended Maturity Date (if Soft Bullet) February 16 2030
Coupon Rate (%) 3.191
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date March 11 2024
Date of Issue March 11 2024
Series Designation CBL68
Issue Currency EUR
Nominal Amount 1,000,000,000
ISIN XS2782119916
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date February 16 2034
Extended Maturity Date (if Soft Bullet) February 16 2035
Coupon Rate (%) 3.247
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date March 20 2024
Date of Issue March 20 2024
Series Designation CBL69
Issue Currency CAD
Nominal Amount 1,000,000,000
ISIN CA89116CDM60
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 2 2029
Extended Maturity Date (if Soft Bullet) April 2 2030
Coupon Rate (%) 4.232
Interest Payment Date(s)/Frequency Semi-annual
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date April 19, 2024
Date of Issue April 19, 2024
Series Designation CBL70
Issue Currency EUR
Nominal Amount 750,000,000
ISIN XS2804485758
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 19, 2026
Extended Maturity Date (if Soft Bullet) October 19, 2027
Coupon Rate (%) 3m EURIBOR + 0.26
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date April 25, 2024
Date of Issue April 25, 2024
Series Designation CBL71
Issue Currency USD
Nominal Amount 250,000,000
ISIN USC8888MA659
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date February 15, 2029
Extended Maturity Date (if Soft Bullet) February 15, 2030
Coupon Rate (%) SOFR + 0.73
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable NA
Registration Date June 11, 2024
Date of Issue June 11, 2024
Series Designation CBL72
Issue Currency GBP
Nominal Amount 800,000,000
ISIN XS2838372113
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 11, 2029
Extended Maturity Date (if Soft Bullet) June 11, 2030
Coupon Rate (%) SONIA + 0.60
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date July 11, 2024
Date of Issue July 11, 2024
Series Designation CBL73
Issue Currency USD
Nominal Amount 250,000,000
ISIN XS2858624427
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 11, 2029
Extended Maturity Date (if Soft Bullet) July 11, 2030
Coupon Rate (%) SOFR + 0.69
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date July 16, 2024
Date of Issue July 16, 2024
Series Designation CBL74
Issue Currency USD
Nominal Amount 2,500,000,000
ISIN US891160TE35
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date July 16, 2027
Extended Maturity Date (if Soft Bullet) July 16, 2028
Coupon Rate (%) 4.814%
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 5, 2024
Date of Issue September 5, 2024
Series Designation CBL75
Issue Currency EUR
Nominal Amount 1,000,000,000
ISIN XS2895483787
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 3, 2027
Extended Maturity Date (if Soft Bullet) September 3, 2028
Coupon Rate (%) 3m EURIBOR + 0.31
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 5, 2024
Date of Issue September 5, 2024
Series Designation CBL76
Issue Currency EUR
Nominal Amount 1,750,000,000
ISIN XS2895480411
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 3, 2027
Extended Maturity Date (if Soft Bullet) September 3, 2028
Coupon Rate (%) 2.776
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA
Registration Date September 5, 2024
Date of Issue September 5, 2024
Series Designation CBL77
Issue Currency EUR
Nominal Amount 1,500,000,000
ISIN XS2895482201
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 15, 2031
Extended Maturity Date (if Soft Bullet) April 15, 2032
Coupon Rate (%) 2.862
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) LSE
Other Material Characteristics as Applicable NA

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Date Published: September 5, 2024

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