National Bank of Greece S.A.

86 Eolou str., 105 59 Athens, Greece

Tax ID Number: 094014201, Tax Office: F.A.E. Athens,

General Commercial Registry No.: 237901000

nbg.gr

30 April 2024

NATIONAL BANK OF GREECE S.A.

(NBG or the Issuer)

NOTICE TO THE HOLDERS OF

€150,000,000 Fixed Rate Resettable Unsubordinated MREL Notes due 25 May 2025 (XS2560090214)

(the Notes)

issued on 25 November 2022 under the €5,000,000,000 Global Medium Term Note Programme of the Issuer

(the Programme)

NOTICE IS HEREBY GIVEN to the Noteholders of the Notes that, pursuant to Condition 10.3 of the terms and conditions of the Notes set out in the Base Prospectus relating to the Programme dated 17 December 2021 (the Conditions), as completed by the Final Terms dated 23 November 2022, NBG has elected to exercise its option to redeem all of the outstanding Notes on the Optional Redemption Date falling on 25 May 2024. The Notes will be redeemed at par as provided for under Condition 10.3. Accrued but unpaid interest will be payable pursuant to the Conditions.

The current outstanding principal amount of the Notes is €150,000,000.

In accordance with Condition 10.12, the Issuer has obtained the permission of the Relevant Resolution Authority to redeem the Notes prior to the delivery of this notice and is otherwise in compliance with the requirements of Condition 10.12.

Unless the context otherwise requires, capitalised terms used but not defined in this Notice shall have the meaning given in the Conditions of the Notes.

For further information, please contact: CapitalMarkets@nbg.gr

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National Bank of Greece SA published this content on 30 April 2024 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 30 April 2024 09:31:04 UTC.