Tier 2: EUR 1,500m, fixed,settlement/maturity 30 June '20/'25

Full name

EUR 1,500m, fixed,settlement/maturity 30 June '20/'25

Type

Tier 2

Outstanding amount

EUR 1,500,000,000

Coupon

2,875%

ISIN

XS1253955469

Documentation

ABN AMRO Bank N.V. Reg-S Base Prospectus dated 8 July 2014​ (PDF 1 MB)

Tier 2 Supplement dated 15 June 2015​ (PDF 225 KB)

Final Terms dated 26 June 2015​ (PDF 449 KB)