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Bankinter S.A. — Capital/Financing Update 2011
Feb 15, 2011
1799_rns_2011-02-15_f61a20b5-d8f4-490c-9c6d-bbe042258db3.pdf
Capital/Financing Update
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Pro-forma Final Terms Bankinter S.A. €5.000.000.000,00 EURO-COMMERCIAL PAPER PROGRAMME (the "Programme")
ISSUE OF 70.000.000,00 EURO-COMMERCIAL PAPER NOTES PART A - CONTRACTUAL TERMS
This document constitutes the Final Terms (as referred to in the Information Memorandum dated 21 April 2010 (as amended, updated or supplemented from time to time, the "Information Memorandum") in relation to the Programme) in relation to the issue of Notes referred to above (the "Notes"). Terms defined in the Information Memorandum, unless indicated to the contrary, have the same meanings where used in these Final Terms. Reference is made to the Information Memorandum for a description of the Issuer, the Programme and certain other matters. These Final Terms are supplemental to and must be read in conjunction with the full terms and conditions of the Notes. These Final Terms are also a summary of the terms and conditions of the Notes for the purposes of listing.
The particulars to be specified in relation to the issue of Notes are as follows:
| Issuer: | BANKINTER, S.A. |
|---|---|
| Type of Note: | Euro Commercial Paper |
| Series Nº: | 1 to 140 |
| Dealer(s): | HPC PARIS |
| Specified Currency: | EUROS |
| Nominal Amount: | 70.000.000,00 |
| Issue Date: | 17/02/2011 |
| Maturity Date: | 30/03/2011 |
| Issue Price: | 99,874879 |
| Denomination: | EUR 500.000,00 |
| Redemption basis: | Redemption at par |
| Delivery: | Free of payment |
| Listing: | LONDON |
| Admission to trading: | GILT EDGED AND FIXED INTEREST MARKET OF THE LONDONSTOCK |
| EXCHANGE PLC | |
| Ratings: | STANDARD AND POOR'S RATINGS SERVICES: A-1 |
| MOODY'S INVESTORS SERVICE, INC.: P-1 | |
| Clearing System(s): | EUROCLEAR |
|---|---|
| Issue and Paying Agent: | CITIBANK-LONDON |
| Common Code: | 0593994030 |
| ISIN: | XS0593994030 |
LISTING AND ADMISSION TO TRADING APPLICATION
These Final Terms comprise the final terms required to list and have admitted to trading the issue of Notes described herein pursuant to the €5.000.000.000,00 Euro-Commercial Paper Programme of BANKINTER, S.A..
RESPONSIBILITY
The Issuer accepts responsibility for the information contained in these Final Terms. PART B - OTHER INFORMATION
1.INTERESTS OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISSUE
Save as discussed in "Subscription and Sale", so far as the Issuer is aware, no person involved in the offer of the Notes has an interest material to the offer.
2.REASONS FOR THE OFFER, ESTIMATED NET PROCEEDS AND TOTAL EXPENSES
(i) Reasons for the offer The net proceeds of the issue of the Notes will be used for the general funding purposes of the Group
(ii) Estimated net proceeds: 69.912.415,28 (iii) Estimated total expenses: 0 €
3.YIELD
Indication of yield: 1,100000%
CONFIRMED - BANKINTER, S.A. By: Manuel Bueno Jeronimo Muñoz
Dated: 15/02/2011