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Market Cap: €110.04b
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Global Medium Term Programme - Venue change

12 Apr 2019 07:00

RNS Number : 9739V
Banco Bilbao Vizcaya Argentaria SA
11 April 2019
 

BANCO BILBAO VIZCAYA ARGENTARIA, S.A.

(incorporated with limited liability in Spain)

11 April 2019

CHANGE TO THE VENUE WHERE THE NOTES ARE LISTED AND ADMITTED TO TRADING

Banco Bilbao Vizcaya Argentaria, S.A. (BBVA) hereby wishes to announce to the holders of the following Notes (together, the Relevant Notes) issued under its EUR 40,000,000,000 Global Medium Term Programme (the Programme) that it intends to apply to (i) the United Kingdom Financial Conduct Authority (the FCA) to cancel the listing of the Relevant Notes on the official list of the FCA and (ii) the London Stock Exchange plc (the LSE) to cancel the admission of the Relevant Notes to trading on the regulated market of the LSE, with such cancellation to take effect on or shortly after 8.00 am (London time) on 15 May 2019. 

(a) EUR 1,000,000,000 1.00 per cent. Notes due January 2021 issued on 20 January 2016 (ISIN: XS1346315200);

(b) EUR 1,000,000,000 0.625 per cent. Notes due January 2022 issued on 17 January 2017 (ISIN: XS1548914800);

(c) EUR 1,000,000,000 3.500 per cent. Tier 2 Subordinated Notes due February 2027 issued on 10 February 2017 (ISIN: XS1562614831);

(d) EUR 100,000,000 4.00 per cent. Tier 2 Subordinated Notes due February 2032 issued on 24 February 2017 (ISIN: XS1569874503);

(e) EUR 65,000,000 4.00 per cent. Tier 2 Subordinated Notes due February 2032 issued on 14 March 2017, to be consolidated and form a single series with EUR 100,000,000 4.00 per cent. Tier 2 Subordinated Notes due February 2032 (ISIN: XS1569874503);

(f) EUR 53,400,000 Fixed to Floating Tier 2 Subordinated Notes due March 2027 issued on 16 March 2017 (ISIN: XS1579039006);

(g) USD 120,000,000 5.700 per cent. Tier 2 Subordinated Notes due March 2032 issued on 31 March 2017 (ISIN: XS1587857498);

(h) EUR 1,500,000,000 Floating Rate Notes due April 2022 issued on 12 April 2017 (ISIN: XS1594368539);

(i) EUR 150,000,000 2.541 per cent. Tier 2 Subordinated Notes due May 2027 issued on 24 May 2017 (ISIN: XS1615674261);

(j) CHF 20,000,000 1.600 per cent. Tier 2 Subordinated Notes due May 2027 issued on 24 May 2017 (ISIN: XS1615673701);

(k) EUR 1,500,000,000 0.75 per cent. Senior Non-Preferred Notes due September 2022 issued on 11 September 2017 (ISIN: XS1678372472);

(l) EUR 50,000,000 1.72 per cent. Senior Non-Preferred Notes due May 2028 issued on 10 November 2017 (ISIN: XS1712061032);

(m) EUR 90,000,000 1.72 per cent. Senior Non-Preferred Notes due May 2028 issued on 24 November 2017, to be consolidated and form a single series with the Issue of EUR 50,000,000 1.72 per cent. Senior Non-Preferred Notes due May 2028 (ISIN: XS1712061032);

(n) EUR 150,000,000 Floating Rate Senior Non-Preferred Notes due December 2023 issued on 1 December 2017 (ISIN: XS1724512097);

(o) EUR 1,500,000,000 Senior Non-Preferred Floating Rate Notes due March 2023 issued on 9 March 2018 (ISIN: XS1788584321);

(p) EUR 1,000,000,000 1.375 per cent. Senior Non-Preferred Green Bonds due May 2025 issued on 14 May 2018 (ISIN: XS1820037270); and

(q) USD 300,000,000 5.250 per cent. Tier 2 Subordinated Notes due 29 May 2033 issued on 29 May 2018 (ISIN: XS1824263260).

With effect from 11 April 2019, the Relevant Notes have been admitted to the official list of Irish Stock Exchange plc trading as Euronext Dublin (Euronext Dublin) and trading on the regulated market of Euronext Dublin. BBVA changed the listing venue for Notes issued under the Programme from the LSE to Euronext Dublin as part of the annual update of its Programme in August 2018. BBVA is also changing the listing of the Relevant Notes from the LSE to Euronext Dublin in order to provide for the listing of the Relevant Notes to be on the same listing venue as other listed Notes issued under the Programme.

For further information, please contact:

BBVA

Calle Azul, 4

28050, Madrid

Spain

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
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