29 January 2018
ISIN code:
SEK BONDS - ISIN: SE0010662247, EUR BONDS – ISIN: SE0010662254, NOK BONDS - ISIN: NO0010812522
Issuer:
Trinitas Fastigheter AB (publ)
Coupon:
10.00 per cent. per annum
First issue date:
29 Jan 2018
Maturity date:
29 Jan 2019
Max volume:
SEK 250,000,000 or its equivalent in EUR or NOK
Market:
N/A
Nominal amount:
SEK SEK 10,000, NOK 10,000, EUR 1,000