Skip to main content

Heimstaden AB (publ)

19 May 2017

Bond information

ISIN code:

SE0009895055

Issuer:

Heimstaden AB (publ)

Coupon:

STIBOR plus 3.15 per cent. per annum

First issue date:

19 May 2017

Maturity date:

18 May 2021

Max volume:

SEK 1,250,000,000

Trading related information

Market:

Nasdaq Stockholm

Listing to occur before:

18 Jul 2017

Nominal amount:

SEK SEK 1,000,000

Terms & Conditions

Terms & Conditions

Latest Insights & Events