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YIT Corporation (II)

31 March 2021

Bond information

ISIN code:

FI4000496302

Issuer:

YIT Corporation (II)

Coupon:

3.250 % p.a.

First issue date:

31 Mar 2021

Maturity date:

15 Jan 2026

Trading related information

Market:

Nasdaq Helsinki

Nominal amount:

EUR 100,000,000

Terms & Conditions

Terms & Conditions

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