30 May 2025 10:11 CEST

Utsteder

OBOS-banken AS

Issuer: OBOS-banken AS
ISIN: NO0010884513
Date of redemption: 30 May 2025
Redemption amount: NOK 165 mill.
Price: 100.015
Outstanding amount after redemption: NOK 385 mill

Contact person in OBOS-banken AS:
CFO, Anita Eidem, +47 936 75 148


Kilde

OBOS-banken AS

Leverandør

Oslo Børs Newspoint

Company Name

OBOS-banken AS 22/PERP ADJ C HYBRID, OBOS-banken AS 22/32 ADJ C SUB, OBOS-banken AS 22/25 FRN, OBOS-banken AS 22/27 FRN, OBOS-banken AS 22/26 FRN, OBOS-banken AS 23/28 FRN, OBOS-banken AS 23/26 FRN, OBOS-banken AS 24/34 ADJ C SUB, OBOS-banken AS 24/29 FRN, OBOS-banken AS 24/PERP ADJ C HYBRID, OBOS-banken AS 24/29 4,75%, OBOS-banken AS 25/PERP FRN C HYBRID, OBOS-banken AS 25/35 FRN C SUB, OBOS-banken AS 25/30 FRN

ISIN

NO0012514944, NO0012514936, NO0012635152, NO0012707480, NO0012763616, NO0012771171, NO0012949579, NO0013056200, NO0013177196, NO0013187187, NO0013254904, NO0013392498, NO0013393348, NO0013470575, NO0013471227, NO0013501106

Marked

Nordic Alternative Bond Market