Base prospectus, supplements and final terms and use of prospectus
Documents relating to the Base Prospectus 17.07.2020
Securities Note 17.07.2020
Supplements
Final terms
Issues under the base prospectus as of 17.07.2020.
RBI AG EUR 500,000,000 Subordinated Callable Fixed-to-Fixed Rate Reset Notes due 2033, Series 231, Tranche 1
RBI AG Up to EUR 300,000,000 0.238 per cent. Ordinary Senior Eligible Notes due 2027, Series 230, Tranche 1
RBI AG Up to EUR 300,000,000 0.238 per cent. Ordinary Senior Eligible Notes due 2027, Series 230, Tranche 1
RBI AG Up to EUR 100,000,000 0.01 per cent. Ordinary Senior Eligible Notes due 2024, Series 227, Tranche 1
Raiffeisen Bank International Up to EUR 300,000,000 0.03 per cent. Fixed Rate Notes due 2026, Series 225, Tranche 1
Raiffeisen Bank International Up to EUR 100,000,000 0.37 per cent. Fixed Rate Notes due 2033, Series 224, Tranche 1
Raiffeisen Bank International Up to EUR 300,000,000 0.09 per cent. Fixed Rate Notes due 2025, Series 223, Tranche 1
Raiffeisen Bank International EUR 15,000,000 0.29 per cent. Fixed Rate Notes due 2030, Series 221, Tranche 1
Raiffeisen Bank International Up to EUR 300,000,000 0.01 per cent. Fixed Rate Notes due 2023, Series 220, Tranche 1
Raiffeisen Bank International EUR 15,000,000 0.43 per cent. Fixed Rate Notes due 2030, Series 218, Tranche 1
Offer to the public within the relevant offer period exclusively in: Austria, Germany
Raiffeisen Bank International Up to EUR 300,000,000 0.335 per cent. Fixed Rate Notes due 2025, Series 216, Tranche 1
Offer to the public within the relevant offer period exclusively in: Austria, Germany
The offer of the following notes has been terminated as of 22 February 2023. For the avoidance of doubt, it is stated explicitly that the following Final Terms and Summaries are provided exclusively for the purpose of information of persons already invested in such securities and the secondary market and constitute neither an offer nor a solicitation of an offer to purchase any securities.