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Patriam Invest AB (publ)

2 November 2023

Bond information

ISIN code:

SEK BONDS ISIN: SE0017769391 EUR BONDS ISIN: SE0017769409


Patriam Invest AB (publ)


For the EUR Bonds, EURIBOR (3 months) plus the Applicable Floating Rate Margin; and for the SEK Bonds, STIBOR (3 months) plus the Applicable Floating Rate Margin.

First issue date:

25 May 2022

Maturity date:

25 May 2025

Max volume:

SEK 1,500,000,000 (or its equivalent in EUR)

Trading related information


First North Stockholm

Listing to occur before:

24 Jul 2022

Nominal amount:

SEK Bond is SEK 10,000; EUR Bond is EUR 1,000

Terms & Conditions

Terms & Conditions

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