Zürcher Kantonalbank is today announcing the redemption of its Tier 2 bond with contingent write-down and a notional amount of EUR 500 million (ISIN: XS1245290181) as of the first call date on 15 June 2022. The redemption price will be equal to the notional amount together with accrued interest up to the first call date.
Zürcher Kantonalbank redeems Tier 2 bond
Media release from 28 April 2022