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- SVEG95PRO - Key Information Relating To Full Redemption of Bond Loan
SVEG95PRO - Key information relating to full redemption of bond loan
07 Mar 2023 09:11 CET
Issuer
Sparebanken Vest
Sparebanken Vest will exercise its right to call SVEG95PRO.
Issuer: Sparebanken Vest
ISIN for bond loan: NO0010820228
Original maturity date: March 28th 2028
New maturity date: March 28th 2023
Redemption price: 100
Other information: n/a
This information is published in accordance with the requirements of the
Continuing Obligations.
Contact persons in Sparebanken Vest:
John Hopp, Head of Treasury, (+47) 450 81 776
Thomas Colliander, Finance Manager Treasury, (+47) 990 28 618
More information:
Access the news on Oslo Bors NewsWeb site
Source
Sparebanken Vest
Provider
Oslo Børs Newspoint
Company Name
SPAREBANKEN VEST, Spb Vest 18/PERP FRN C HYBRID, Spb Vest 18/28 FRN C SUB, Spb Vest 18/23 2,35%, Spb Vest 19/29 FRN C SUB, Spb Vest 19/24 FRN, Spb Vest 19/24 2,07%, Spb Vest 19/25 2,42%, Spb Vest 19/25 FRN, Spb Vest 20/PERP FRN C HYBRID, Spb Vest 20/26 ADJ C, Spb Vest 20/26 FRN C, Spb Vest 21/27 FRN C, Spb Vest 21/31 FRN C SUB, Spb Vest 21/PERP FRN C HYBRID, Spb Vest 21/24 FRN, Spb Vest 21/25 1.84pct NOK, Spb Vest 22/26 FRN, Spb Vest 22/26 3.515pct, Spb Vest 22/25 FRN, Spb Vest 22/25 3.60 pct, Spb Vest 22/PERP ADJ C HYBRID, Spb Vest 23/33 FRN C SUB
ISIN
NO0006000900, NO0010819683, NO0010820228, NO0010823743, NO0010831530, NO0010837099, NO0010852221, NO0010861743, NO0010864093, NO0010872252, NO0010871270, NO0010882400, NO0010887268, NO0010890114, NO0010917107, NO0010936768, NO0011008401, NO0011032328, NO0011109597, XS2393937300, NO0011130221, NO0012490053, NO0012490061, NO0012539107, NO0012539115, NO0011204133, NO0012747106, NO0012837048
Symbol
SVEG
Market
Oslo Børs Nordic Alternative Bond Market