Issuer, issue number
Nationwide Building Society, 6.875% perp.(Fix-to-float) Type of debt instrumentInternational bonds Issue statusoutstanding Type of placementPublic Par, currency of issueGBP 100,000 Amount1,000,000,000 ISINXS1043181269 End of placement03/04/2014 Initial issue price100.014 Coupon6.875% to 20.06.2019, then GBP 5Y Swap Rate + 4.88% Coupon frequency2 time(s) per yearSettlement date03/11/2014 Issue ManagersCitigroup, Deutsche Bank, RBS, UBS Trading floorSIX