Borrower UBS AG (London Branch)
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Tranche 1
Issue Amount 1.5 billion euro
Maturity Date September 5, 2016
Coupon 3 month Euribor + 25bp
Reoffer price par
ISIN XS1105680703
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Tranche 2
Issue Amount 1.5 billion euro
Maturity Date September 3, 2021
Coupon 1.25 pct
Reoffer price 99.834
Yield 1.275pct
Spread 55 basis points
Underlying over the Mid-swaps, equivalent to 85.4bp
over the 3.25pct July 2021 DBR
ISIN XS1105680703
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Common Terms
Payment Date September 3, 2014
Lead Manager(s) ABN, Barcclays, HSBC, ING, KBC, RBI & UBS
Ratings A2 (Moody’s), A (S&P),
A (Fitch)
Listing Ireland
Full fees Undisclosed
Denoms (K) 100-1
Notes Launched under issuer’s EMTN programme
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