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| Issue Type | XXXX |
|---|---|
| Country | Sweden |
| Industry | XXXX |
| Region | XXXX |
| Maturity Date | 2028-12-14 |
| Par Value | 100000 |
| Callable | XXXX |
| Next Call Date | XXXX |
| Call Type | XXXX |
| Call Price (%) | XXXX |
| Series | XXXX |
| Class | XXXX |
| Maturity Structure | XXXX |
| Amount Outstanding (mil) | 30.79 |
| Coupon | 0.75 |
|---|---|
| Coupon Type | XXXX |
| Coupon Frequency | XXXX |
| First Coupon Date | XXXX |
| Last Coupon Date | XXXX |
| Sinking Fund | XXXX |
|---|---|
| Security | XXXX |
| Subordination | XXXX |
| Debt Type | XXXX |
| Issue Date | XXXX |
|---|---|
| Dated Date | XXXX |
| Issue Size (mil) | 700.000 |
| Min. Piece | XXXX |
| Min. Increment | XXXX |
This SBB Treasury Oyj corporate note has a 0.75% fixed rate coupon paid on a annual basis. It was issued on December 14, 2020 with an issue size of 700.00 million EUR and matures on December 14, 2028 with a last coupon date of December 14, 2027. |
SBB Treasury Oyj, established in Finland, serves as a vital financing arm for SBB Group, focusing on optimizing financial operations for the company. It specializes in the issuance of bonds and other financial instruments to support the group's strategic funding needs.