NEW ISSUE: Equitable Bank €500m WNG 3.2yr CB; MS+38a
IGC European Market: Deal Flow - General
Issuer
Term
Maturity
Size
Ranking
Type
ISIN
Guidance
Equitable Bank
3.2yr
7-Dec-29
€500m WNG
CB
Fixed
XS3529534748
MS+38a
Guidance: 3.2yr: MS+38a
Issuer:Equitable Bank
Guarantor: EQB Covered Bond (Legislative) Guarantor Limited Partnership
LEI: 5493004QI4QQE17ETY06
Expected Issue Ratings: Aa1/AA+ (Moody's/Fitch)
Tenor: 3.2yr Fixed
Size: €500m WNG
Guidance: MS+38a
Coupon: [•]% per annum payable annually in arrear, Actual / Actual (ICMA)
Final Maturity Date: 7-Dec-29 (soft bullet)
Settlement Date: 15-Oct-26 (T+5)
Interest Payment Dates: 7 December in each year, commencing with a long first coupon on 7-Dec-27, up to and including the Final Maturity Date
Business Day Convention: Following Business Day Convention, Unadjusted
Business Days: London, Toronto and T2
Documentation: The Issuer’s CAD 3bn Global Legislative Covered Bond Programme, as described in the prospectus dated 30-Sep-26, as supplemented from time to time (together, the “Prospectus”)
Listing: Euronext Dublin
Denominations: €100,000 and integral multiples of €1,000 in excess thereof
Form of Covered Bonds: Registered Form
Sales restrictions: Regulation S, Category 2, Not Rule 144A eligible, the Covered Bonds may not be offered, sold or distributed, directly or indirectly, in Canada or to or for the benefit of, any resident in Canada, and as otherwise described in the Prospectus of the Issuer dated 30-Sep-26. The Covered Bonds are not intended to be offered, sold or otherwise made available in the UK to, and should not be offered, sold or otherwise made available in the UK to, any person in a principal amount of less than £100,000 (or its equivalent in €). Singapore Sales to Institutional Investors and Accredited Investors only
Clearing System: Euroclear and Clearstream, Luxembourg
Governing Law: Province of Ontario and the federal laws of Canada applicable therein
Target Market: UK MiFIR / MiFID II professionals / ECPs-only / No EU PRIIPs KID or UK CCI disclosure document as not available to retail investors in the EEA or the UK
ISIN & Common Code: XS3529534748 / 352953474
Joint Lead Managers: Barclays, Commerzbank, DZ Bank AG, Erste Group, LBBW, Scotiabank (B&D), TD Securities