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Euro Medium Term Note (“EMTN”)
TSB enjoys a strong capital position and our unsecured debt issuance is an important part of this. It helps us to meet our regulatory requirements and meets our strategy of optimising the level and mix of capital and funding resources.
By accessing this site and the information contained herein, you agree that you are bound by the terms and conditions.
Transaction | Issue Date | Amount | Maturity | ISIN | |
---|---|---|---|---|---|
Tier 2 Series 2021-1 | 30/03/2021 | GBP £300m | 30/03/2031 | XS2324523237 | Final Terms |
Series 2022-1 | 13/06/2022 | GBP £450m | 13/06/2027 | XS2489284500 | Final Terms |
Series 2022-3 | 09/12/2022 | GBP £250m | 09/12/2026 | XS2561400396 | Final Terms |
Series 2023-1 | 05/12/2023 | GBP £200m | 05/12/2028 | XS2728556684 | Final Terms |
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