Zurich/Basel, 3 May 2022 – UBS announced its intention to redeem the total outstanding of the USD 2.00bn 3.491% Fixed Rate notes with ISIN 144A: US90352JAA16 / RegS: USH4209UAA46 and the total outstanding of the USD 1.00bn Floating Rate notes with ISIN 144A: US90352JAB98 / RegS: USH4209UAB29 (the “Notes”) on 23 May 2022, the first optional redemption date. Both Notes were issued by UBS Group AG on 23 March 2017 and are listed on the SIX Swiss Exchange.
UBS Group AG and UBS AG