General Announcement::Scotiabank Chile - Bond placement in the local market
Issuer & Securities
Issuer/ Manager
SCOTIABANK CHILE
Securities
SCOTIABANK USD125M2.16%N261110 - XS2401677948 - FZVB
SCOTIABANK AUD30M2.75%N261216 - XS2423023204 - PNWB
SCOTIABANK USD10MF300730 - XS3139377041 - KEFB
SCOTIABANK USD10MF301002 - XS3195132132 - 46OB
SCOTIABANK USD10MF301008 - XS3201347658 - SLLB
SCOTIABANK USD10M S22 F300916 - XS3179681328 - PTWB
SCOTIABANK USD10M S23 F300916 - XS3182455256 - UHNB
SCOTIABANK USD10MF290904 - XS2895053184 - 51GB
Stapled Security
No
Announcement Details
Announcement Title
General Announcement
Date &Time of Broadcast
30-Dec-2025 19:43:27
Status
New
Announcement Sub Title
Scotiabank Chile - Bond placement in the local market
Announcement Reference
SG251230OTHR7O29
Submitted By (Co./ Ind. Name)
Pedro Gonzalez
Designation
Sr Trader Structural Funding & Investor Relations
Effective Date and Time of the event
30/12/2025 17:00:00
Description (Please provide a detailed description of the event in the box below)
In compliance with the provisions of articles 9 and 10 of Law No. 18,045 on the Securities Market, and letter A.a) of the Section II of the General Rule No. 486, and number 5.1.7 of the Section IV of the General Rule No. 30 of the Commission for the Financial Market (hereinafter, the CMF ), hereby report as a Material Fact the following: On December 29, 2025, Scotiabank Chile (hereinafter, the Bank ) carried-out a placement of three dematerialized and bearer bonds.
The specific conditions of the placements were as follow:
- Series AC bonds, for a total amount of 18,000,000,000 chilean pesos (equivalent to approximately USD 19 million), maturing on June 30, 2030. The average placement rate of the securities was 5.73%. These bonds were charged to the line registered in the Securities Registry of the CMF under number 20230006 dated September 6, 2023.
- Series AD bonds, for a total amount of 5,000,000,000 chilean pesos (equivalent to approximately USD 5 million), maturing on June 30, 2031. The average placement rate of the securities was 5.81%. These bonds were charged to the line registered in the Securities Registry of the CMF under number 20230006 dated September 6, 2023.
- Series BL bonds, for a total amount of 100,000 unidades de fomento (equivalent to approximately USD 4 million), maturing on August 1, 2031. The average placement rate of the securities was 2.83%. These bonds were charged to the line registered in the Securities Registry of the CMF under number 7.2021 dated September 23, 2021.
Rafael Bilbao
General Counsel Scotiabank Chile
(Free translation of Spanish Communication)
Attachments
Communication of Material Fact_bond placement.pdf
Total size =113K
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