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REG - Bank of Nova Scotia - FRN Variable Rate Fix XS2737257506 12222025

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RNS Number : 8737B  Bank of Nova Scotia  02 October 2025

The Bank of Nova Scotia Euro Medium Term Note Programme Variable Rate Fix

Issue of EUR 10,000,000 Floating Rate Notes due June 2038 EMTN 456

 

 Payment Date                                 12/22/2025
 ISIN                                         XS2737257506
 Notional                                     EUR                        10,000,000
 Rate                                         3.82%
 Day/Basis                                    360
 Total Amount Payable per Calculation Amount  EUR 382,000.00

 

 

 

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