PATRIAM

Patriam Invest AB (publ)

Product:Bond
ISIN:SEK: SE0014855524, EUR: SE0014855516
Interest p.a. (%)9,5%
Payment:Quarterly payment
First issue date:2020-11-26
Maturity date:2023-11-26
Maturity (months):36
Extension/early redemption (months):(-18/+12)
Coupon date:26 February, 26 May, 26 August, 26 November
Issued volume: SEK 140 m
Max volume: SEK 400 m
Trustee:Intertrust