Trinitas Fastigheter

Trinitas Fastigheter AB

Product:Bond
ISIN:SEK: SE0010662247, NOK: NO0010812522,
EUR: SE0010662254
Coupon p.a. (%)10%
Payment:Quarterly payment
First issue date:2018-01-31
Maturity date:2020-01-31
Maturity (months):24
Extension/early redemption (months):(+/-6)
Coupon date:30 April, 31 July, 31 October, 31 January
Issued volume: SEK 200 m
Max volume:SEK 250 m
Trustee:Intertrust