Nationale-Nederlanden Bank N.V.

Netherlands EEA Member

Pool Program details

Identifier NN Bank Soft Bullet cover pool
Country Netherlands
Legal framework Dutch registered CBs programmes
Harmonised transparency template https://www.nn-group.com/investors/nn-bank/covered-bonds-1.htm
Pool type Mortgage
Description

Bond details

ISIN NL0015002G06
Other identifier
Face value (EUR) 750,000,000
Initial Issuance Date 21/03/2025
Maturity Date 21/03/2031
EU Label European Covered Bond (Premium)
Maturity profile SB
Tapped Yes
Coupon Type Fixed
Syndicated Yes
Listed Yes
LCR 1
Sustainable covered bond Yes
Description Including TAP tranche of EUR 250m, issued on 18 August 2025, with temporary ISIN code NL0015002MH5. This tranche will be fungible with the NL0015002G06 on or about the date falling 40 days after 18 August 2025
Additional Information