Informative notice to holders of Structured Bank Bonds, issued by BBVA Mexico


The holders of the Structured Bank Bonds, issued by BBVA México, SA, Institución de Banca Múltiple, Grupo Financiero BBVA México, are informed that on March 29, 2022, the Early Amortization, total or partial, of the securities described below, to those holders who, 8 business days in advance, notify the Issuer in writing of their intention to receive the advance payment of the Structured Bank Bonds of which they were holders.

The Early Amortizations will be carried out at the prices described in the following table, which were determined in accordance with the provisions of the corresponding titles.

Key Indeval Price
99BACOMER SS 21-31 $98.8371
99BACOMER S 21-34 $94.9697
99BACOMER S 21-35 $98.6112

The price at which the Structured Bank Bonds will be paid will replace the unpaid balance of the principal and, where appropriate, the amount of interest or other yields established in the Title corresponding to each issue, including those whose settlement date is between the period for requesting and liquidating said early amortization.

This publication is made in accordance with the provisions of the twelfth clause of the corresponding issuance act.

Mexico City, March 16, 2022

BBVA México, SA, Multiple Banking Institution, BBVA México Financial Group.

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