Investors

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

Final Offering Circular