22 Feb 2023 15:40 CET

Issuer

Citycon Treasury B.V.

CITYCON OYJ   Managers' Transactions   22 February 2023 at 16.40 hrs

The acquisition of shares is based on the vesting period of 27 October 2021 to
15 January 2023 in the CEO Restricted Share Plan 2021-2025.
Person subject to the notification requirement: F. Scott Ball, CEO
Issuer: Citycon Oyj, LEI 549300P8N0P6KDGTJ206
Notification type: initial notification
Reference number: 25885/4/4
1) Transaction
Date: 21 February 2023
Venue: NASDAQ HELSINKI LTD (XHEL)
Nature of the transaction: acquisition
Instrument
share (CTY1S)
ISIN Code: FI4000369947
Transaction details
volume: 100,000
unit price: 6.7615 EUR
Aggregated transactions
total volume: 100,000
volume weighted average price: 6.7615 EUR
CITYCON OYJ
For further information, please contact:
Sakari Järvelä
Vice President, Corporate Finance and Investor Relations
Tel. +358 50 387 8180
sakari.jarvela@citycon.com
Citycon is a leading owner, manager and developer of mixed-use real estate
featuring modern, necessity-based retail with residential, office and municipal
service spaces that enhance the communities in which they operate. Citycon is
committed to sustainable property management in the Nordic region with assets
that total approximately EUR 4.3 billion. Our centres are located in urban hubs
in the heart of vibrant communities with direct connections to public transport
and anchored by grocery, healthcare and other services that cater to the
everyday needs of customers.
Citycon has investment-grade credit ratings from Moody's (Baa3) and Standard &
Poor's (BBB-). Citycon's shares are listed on Nasdaq Helsinki Ltd.
www.citycon.com


Source

Citycon Treasury B.V.

Provider

Oslo Børs Newspoint

Company Name

Citycon Treasury B.V. 15/25 3,90% C, Citycon Treasury B.V 17/25 2,75% C, Citycon Treasury B.V 20/23 FRN

ISIN

NO0010744139, NO0010805898, NO0010907017

Market

Oslo Børs