09 Mar 2023 18:00 CET

Issuer

Citycon Treasury B.V.

CITYCON OYJ   Managers' Transactions   9 March 2023 at 19:00 hrs

Person subject to the notification requirement: Erik Lennhammar, Chief
Development & Investment Officer
Issuer: Citycon Oyj, LEI 549300P8N0P6KDGTJ206
Notification type: initial notification
Reference number: 26902/4/4
(1) Transaction
Date: 9 March 2023
Venue: N/A
Nature of the transaction: receipt of a share-based incentive
Instrument
share (CTY1S)
ISIN Code: FI4000369947
Transaction details
volume: 5,000
unit price: 0.00000 EUR
Aggregated transactions
total volume: 5,000
volume weighted average price: 0.00000 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


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