Bonds

The below table shows outstanding bonds for Ellos Holding AB.

Overview of bonds

ISIN codeIssue dateMaturity dateFixed/Variable rateVolume, MSEKInterest rate
SE001282799625/07/201928/11/2028Variable7505.00% (spread over 3 months STIBOR) 
SE002148691709/02/202428/11/2026Variable2553.50% (spread over 3 months STIBOR) 
SE002311286714/10/202428/11/2026Variable1593.50% (spread over 3 months STIBOR) 

 

Terms and Conditions

Terms and Conditions (ISIN SE0012827996)

Terms and Conditions (ISIN SE0021486917)

Terms and Conditions (ISIN SE0023112867)