Grundingen Fastighets
Grundingen Fastighets AB
Product: | Bond |
ISIN: | SEK: SE0010324194, NOK: NO0010805112, USD: NO0010805138 |
Coupon p.a. (%) | 6% |
Payment: | Quarterly payment |
First issue date: | 2017-10-12 |
Maturity date: | 2021-10-12 |
Maturity (months): | 48 |
Extension/early redemption (months): | (+6) |
Coupon date: | 12 January, 12 April, 12 July, 12 October |
Issued volume: | SEK 200 m |
Max volume: | SEK 250 m |
Trustee: | Intertrust |