The group has issued tier 1 and tier 2 capital instruments to support its regulatory capital position as follows:
Additional tier 1 capital - GBP450,000,000 8 per cent Fixed Rate Reset Perpetual Subordinated Contingent Convertible Notes. First call date 8 December 2022. Listing particulars.
Additional tier 1 capital - GBP250,000,000 9.25 per cent Fixed Rate Reset Perpetual Subordinated Contingent Convertible Notes. First call date 8 June 2024. Listing particulars.
Tier 2 capital - GBP475,000,000 5 per cent Fixed Rate Reset Callable Subordinated Tier 2 Notes due 2026. First call date 8 February 2021. Listing debt prospectus.
Tier 2 capital - GBP250,000,000 7.875 per cent Fixed Rate Reset Callable Subordinated Tier 2 Notes due 2028. First call date 14 December 2023. Final Terms.
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