XS1799048704 - Länsförsäkringar Hy AB 18/25 0,625% COVD
Preview information
Subscribe now to get full access to all fields and pages for this issue.
- 1 document(s) available for the issue (Including loan documantation).
- Current coupon rate and period is available.
- CRD IV / Solvency II capital requirements available.
Issuer Information
- Issuer —
- Issue Name Länsförsäkringar Hy AB 18/25 0,625% COVD
- Issuer's reg. number —
- Business —
Issue Details
- VPnr/ISIN — / XS1799048704
- Ticker XS1799048704
- Exchange —
- Securities Type Covered Bond (Premium) Bond
- Risk Specification —
- Capital Weight —
- Ratings —
Current Interest Rates
- Redemption Type —
- Interest Type —
- Frequency —
- Reference Rate —
- Margin —
- Cap —
- Floor —
- Current Coupon Rate —
- Day Count Conv —
- Accrued Interest Conv —
- Business Day Conv —
Dates
- Issue Date 27/03/2018
- Interest Accrual Date —
- Maturity Date 27/03/2025
- Latest News —
- Next Put (Price/X-Date) —
- Next Call (Price/X-Date) —
- Next Coupon Adjustment —
- Next Redemption (X-date) —
Amounts
- Program Type —
- Currency —
- Current Outst. Amount —
- Max Principal Amount —
- Face Value —
- Redemption Price —
Other Information
- Region —
- Sector Code —
- Indstr. Class —
Agents
- Manager(s) —
- Paying Agent —
- Bond Trustee —