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This document constitutes the Pricing Supplement for the issuance of EUR 45,000,000 3.75 per cent. Callable Instruments due 28 March 2044, intended solely for professional investors and eligible counterparties.
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How to fill out pricing supplement

01
Gather all necessary information about the product or service being priced.
02
Identify the main pricing components (base price, discounts, fees, etc.).
03
Fill out the company information section, including name, address, and contact details.
04
Specify the pricing structure clearly, detailing each component's cost.
05
Include any terms and conditions related to pricing, such as expiration dates or mileage limits.
06
Review for accuracy and completeness before submission.
07
Sign and date the document if required.

Who needs pricing supplement?

01
Businesses that need to outline pricing details for products or services to clients.
02
Financial institutions or companies providing structured products.
03
Investors or buyers who require clear pricing information before making decisions.
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A pricing supplement is a document that provides specific details about the pricing and terms of a security issue. It supplements the base prospectus and includes information such as the interest rate, pricing date, and maturity date.
Issuers of securities are required to file a pricing supplement. This includes companies that are issuing new securities, such as bonds or stocks, and want to provide investors with detailed information about the specific offering.
Filling out a pricing supplement involves completing specific sections detailing the terms of the offering. This includes entering information such as the type of security, pricing information, underwriter details, and relevant dates. It is important to follow regulatory requirements and guidelines during the completion.
The purpose of a pricing supplement is to inform investors about the specific terms and conditions of a new security offering. It helps ensure transparency and provides essential details necessary for investors to make informed decisions.
The pricing supplement must report information such as the type of security, interest or dividend rate, offering price, total amount being offered, maturity dates, conversion features (if any), and any other material terms related to the offering.
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