Transcript
  • Tier 2 capital instrument Issuer UBS AG Jersey Branch

    ISIN XS0062270581

    Issue Date 18.12.1995

    Currency GBP

    Nominal (million)

    61.3

    Coupon Rate 8.75%

    Maturity Date 18.12.2025

    First Call Date -

  • #29_XS0062270581.pdf12_XS0062270581.pdf12_XS006227058113_XS0062270581.pdf13_XS0062270581_T&Cs130121_Copy 2130121_Copy


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