[6-K] NatWest Group plc American Current Report (Foreign Issuer)
NatWest Group plc published the Final Terms for a new note issuance: EUR 1,000,000,000 3.632% Fixed to Floating Rate Reset Notes due September 2034 (ISIN: XS3170277704) issued under its £40,000,000,000 Euro Medium Term Note Programme. The Final Terms are to be read with the base Prospectus dated 6 December 2024 and supplemental prospectuses dated 14 February 2025, 2 May 2025 and 25 July 2025. A PDF of the Final Terms is available via the provided London Stock Exchange URL and will be filed with the UK National Storage Mechanism. For enquiries the notice lists Scott Forrest, Head of NatWest Treasury DCM and provides a telephone number. The filing includes NatWest Group's LEI (2138005O9XJIJN4JPN90) and is signed by Mark Stevens on 03 September 2025.
NatWest Group plc ha pubblicato i Final Terms per una nuova emissione di titoli: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes con scadenza settembre 2034 (ISIN: XS3170277704) emessi nell'ambito del suo Programma Euro Medium Term Note da £40.000.000.000. I Final Terms vanno letti unitamente al prospetto base datato 6 dicembre 2024 e ai prospetti supplementari datati 14 febbraio 2025, 2 maggio 2025 e 25 luglio 2025. Un PDF dei Final Terms è disponibile tramite l'URL fornita della London Stock Exchange e sarà depositato presso l'UK National Storage Mechanism. Per informazioni il documento indica Scott Forrest, Head of NatWest Treasury DCM e riporta un numero di telefono. Il deposito include il LEI di NatWest Group (2138005O9XJIJN4JPN90) ed è firmato da Mark Stevens in data 03 settembre 2025.
NatWest Group plc ha publicado los Final Terms de una nueva emisión de notas: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes con vencimiento en septiembre de 2034 (ISIN: XS3170277704) emitidas bajo su Programa Euro Medium Term Note de £40.000.000.000. Los Final Terms deben leerse junto con el prospecto base fechado el 6 de diciembre de 2024 y los prospectos suplementarios de fecha 14 de febrero de 2025, 2 de mayo de 2025 y 25 de julio de 2025. Un PDF de los Final Terms está disponible en la URL indicada de la London Stock Exchange y se presentará en el UK National Storage Mechanism. Para consultas, el aviso señala a Scott Forrest, Head of NatWest Treasury DCM y facilita un número de teléfono. La presentación incluye el LEI de NatWest Group (2138005O9XJIJN4JPN90) y está firmada por Mark Stevens el 03 de septiembre de 2025.
NatWest Group plc는 새로운 채권 발행에 대한 최종 약관(Final Terms)을 공시했습니다: EUR 1,000,000,000 3.632% Fixed to Floating Rate Reset Notes 만기 2034년 9월 (ISIN: XS3170277704), £40,000,000,000 유로 중기채권 프로그램(Euro Medium Term Note Programme) 하에 발행됩니다. 최종 약관은 2024년 12월 6일자 기본투자설명서 및 2025년 2월 14일, 2025년 5월 2일, 2025년 7월 25일자 보충 투자설명서와 함께 읽어야 합니다. 최종 약관 PDF는 제공된 런던증권거래소 URL에서 이용할 수 있으며 영국 국가 보관 메커니즘(UK National Storage Mechanism)에 제출될 예정입니다. 문의처로는 Scott Forrest, Head of NatWest Treasury DCM가 명시되어 있으며 전화번호가 기재되어 있습니다. 제출서류에는 NatWest Group의 LEI(2138005O9XJIJN4JPN90)가 포함되어 있으며 Mark Stevens가 2025년 9월 3일 서명했습니다.
NatWest Group plc a publié les Final Terms pour une nouvelle émission de titres : EUR 1 000 000 000 3,632% Fixed to Floating Rate Reset Notes échéance septembre 2034 (ISIN : XS3170277704) émises dans le cadre de son Euro Medium Term Note Programme de £40 000 000 000. Les Final Terms doivent être lus avec le prospectus de base daté du 6 décembre 2024 et les prospectus supplémentaires datés du 14 février 2025, 2 mai 2025 et 25 juillet 2025. Un PDF des Final Terms est disponible via l'URL de la London Stock Exchange fournie et sera déposé auprès du UK National Storage Mechanism. Pour toute demande, l'avis mentionne Scott Forrest, Head of NatWest Treasury DCM et fournit un numéro de téléphone. Le dossier inclut le LEI de NatWest Group (2138005O9XJIJN4JPN90) et est signé par Mark Stevens le 03 septembre 2025.
NatWest Group plc hat die Final Terms für eine neue Schuldverschreibung veröffentlicht: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes fällig im September 2034 (ISIN: XS3170277704), begeben im Rahmen ihres £40.000.000.000 Euro Medium Term Note Programme. Die Final Terms sind zusammen mit dem Basisprospekt vom 6. Dezember 2024 sowie den Nachtragsprospekten vom 14. Februar 2025, 2. Mai 2025 und 25. Juli 2025 zu lesen. Ein PDF der Final Terms ist über die angegebene London Stock Exchange-URL verfügbar und wird beim UK National Storage Mechanism eingereicht. Für Anfragen nennt die Mitteilung Scott Forrest, Head of NatWest Treasury DCM und führt eine Telefonnummer auf. Die Einreichung enthält den LEI von NatWest Group (2138005O9XJIJN4JPN90) und ist von Mark Stevens am 03. September 2025 unterzeichnet.
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Insights
TL;DR: Routine publication of final terms for a €1bn note under NatWest's EMTN programme; standard disclosure for investor access.
The document is a formal publication of Final Terms setting out the definitive terms for issuance of EUR1,000,000,000 3.632% Fixed to Floating Rate Reset Notes maturing September 2034 (ISIN XS3170277704). It references the base prospectus and supplemental prospectuses, and provides distribution/access details including an LSE PDF link and submission to the UK National Storage Mechanism. This is a standard compliance step enabling investors to view legal and pricing details; the filing itself contains no financial results or transaction economics beyond the note size, coupon structure and maturity.
TL;DR: Filing documents regulatory disclosure and contact details; it confirms procedural compliance but shows no governance changes.
The report supplies the Final Terms and cross-references the Prospectus suite, meeting disclosure requirements for an EMTN issuance. It lists an internal contact (Scott Forrest) and includes the company's LEI. The signature block by Mark Stevens indicates authorized filing. There are no executive changes, board actions, or governance items disclosed in this notice.
NatWest Group plc ha pubblicato i Final Terms per una nuova emissione di titoli: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes con scadenza settembre 2034 (ISIN: XS3170277704) emessi nell'ambito del suo Programma Euro Medium Term Note da £40.000.000.000. I Final Terms vanno letti unitamente al prospetto base datato 6 dicembre 2024 e ai prospetti supplementari datati 14 febbraio 2025, 2 maggio 2025 e 25 luglio 2025. Un PDF dei Final Terms è disponibile tramite l'URL fornita della London Stock Exchange e sarà depositato presso l'UK National Storage Mechanism. Per informazioni il documento indica Scott Forrest, Head of NatWest Treasury DCM e riporta un numero di telefono. Il deposito include il LEI di NatWest Group (2138005O9XJIJN4JPN90) ed è firmato da Mark Stevens in data 03 settembre 2025.
NatWest Group plc ha publicado los Final Terms de una nueva emisión de notas: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes con vencimiento en septiembre de 2034 (ISIN: XS3170277704) emitidas bajo su Programa Euro Medium Term Note de £40.000.000.000. Los Final Terms deben leerse junto con el prospecto base fechado el 6 de diciembre de 2024 y los prospectos suplementarios de fecha 14 de febrero de 2025, 2 de mayo de 2025 y 25 de julio de 2025. Un PDF de los Final Terms está disponible en la URL indicada de la London Stock Exchange y se presentará en el UK National Storage Mechanism. Para consultas, el aviso señala a Scott Forrest, Head of NatWest Treasury DCM y facilita un número de teléfono. La presentación incluye el LEI de NatWest Group (2138005O9XJIJN4JPN90) y está firmada por Mark Stevens el 03 de septiembre de 2025.
NatWest Group plc는 새로운 채권 발행에 대한 최종 약관(Final Terms)을 공시했습니다: EUR 1,000,000,000 3.632% Fixed to Floating Rate Reset Notes 만기 2034년 9월 (ISIN: XS3170277704), £40,000,000,000 유로 중기채권 프로그램(Euro Medium Term Note Programme) 하에 발행됩니다. 최종 약관은 2024년 12월 6일자 기본투자설명서 및 2025년 2월 14일, 2025년 5월 2일, 2025년 7월 25일자 보충 투자설명서와 함께 읽어야 합니다. 최종 약관 PDF는 제공된 런던증권거래소 URL에서 이용할 수 있으며 영국 국가 보관 메커니즘(UK National Storage Mechanism)에 제출될 예정입니다. 문의처로는 Scott Forrest, Head of NatWest Treasury DCM가 명시되어 있으며 전화번호가 기재되어 있습니다. 제출서류에는 NatWest Group의 LEI(2138005O9XJIJN4JPN90)가 포함되어 있으며 Mark Stevens가 2025년 9월 3일 서명했습니다.
NatWest Group plc a publié les Final Terms pour une nouvelle émission de titres : EUR 1 000 000 000 3,632% Fixed to Floating Rate Reset Notes échéance septembre 2034 (ISIN : XS3170277704) émises dans le cadre de son Euro Medium Term Note Programme de £40 000 000 000. Les Final Terms doivent être lus avec le prospectus de base daté du 6 décembre 2024 et les prospectus supplémentaires datés du 14 février 2025, 2 mai 2025 et 25 juillet 2025. Un PDF des Final Terms est disponible via l'URL de la London Stock Exchange fournie et sera déposé auprès du UK National Storage Mechanism. Pour toute demande, l'avis mentionne Scott Forrest, Head of NatWest Treasury DCM et fournit un numéro de téléphone. Le dossier inclut le LEI de NatWest Group (2138005O9XJIJN4JPN90) et est signé par Mark Stevens le 03 septembre 2025.
NatWest Group plc hat die Final Terms für eine neue Schuldverschreibung veröffentlicht: EUR 1.000.000.000 3,632% Fixed to Floating Rate Reset Notes fällig im September 2034 (ISIN: XS3170277704), begeben im Rahmen ihres £40.000.000.000 Euro Medium Term Note Programme. Die Final Terms sind zusammen mit dem Basisprospekt vom 6. Dezember 2024 sowie den Nachtragsprospekten vom 14. Februar 2025, 2. Mai 2025 und 25. Juli 2025 zu lesen. Ein PDF der Final Terms ist über die angegebene London Stock Exchange-URL verfügbar und wird beim UK National Storage Mechanism eingereicht. Für Anfragen nennt die Mitteilung Scott Forrest, Head of NatWest Treasury DCM und führt eine Telefonnummer auf. Die Einreichung enthält den LEI von NatWest Group (2138005O9XJIJN4JPN90) und ist von Mark Stevens am 03. September 2025 unterzeichnet.