GamaLife: Subordinated Tier 2
|
Nominal Value |
EUR 125m |
|
Coupon |
5.250% |
|
Issue Date |
9 July 2025 |
|
Maturity |
9 October 2035 |
|
Reset Date / Early Redemption (optional) |
9 October 2030 |
|
Exchange |
Euronext Dublin |
|
ISIN |
PTTRVDOM0008 |
|
Offering Circular |
