Subordinated Debt

Select information regarding National Bank's subordinated debt program and issuance.

Type
of instrument (1)
Outstanding amount
(millions)
CUSIP
(ISIN)
Maturity
Date


Series 7 - Medium Term Notes

CAN $1,000

63306ZDM0
(CA63306ZMDM01)

11-Apr-2022


Floating-rate Bond

US $6,99

(GB0046255393)

28-Feb-2087

(1) The Bank completed on November 2, 2015 the redemption of all of its issued and outstanding Series 4 Medium Term Notes (subordinated indebtedness).

Update: November 12, 2015