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International bonds: Lani Finance, 2.87% 11oct2047, SEK (XS1836417193)

StatusCountry of riskMaturity (option)Amount iIssue ratings (M/S&P/F)
outstandingCayman Islands**/**/****350,400,000 SEK***/***/***
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Yield calculation

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Issue information

BorrowerLani Finance
Bond typeCoupon bonds
Placement methodOpen subscription
Placement typePublic
Par amount, integral multiple11,680,000 SEK
Nominal of international bonds11,680,000 SEK
Minimum settlement amount11,680,000 SEK
Outstanding principal amount11,680,000 SEK
Amount350,400,000 SEK
Outstanding face value amount350,400,000 SEK
Date of end placing**/**/****
Maturity date**/**/****
Redemption price100%
Floating rateNo
Coupon Rate*.**%
Current coupon rate2.87%
Day count fraction***
ACI*** (01/17/2019)
Coupon frequency2 time(s) per year
Interest accrual date**/**/****

Related issues

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Bond classification

Subordinated
Sinkable bond
Perpetual
Convertible
Structured product
Restructuring
Securitization
Mortgage bonds
Trace-eligible
Covered
Foreign bonds
CDO
Sukuk
Retail bonds
Supranational bond issues
Green bonds
Non-Marketable Securities

Identifiers

ISIN / ISIN RegSXS1836417193
Common Code / Common Code RegS183641719
CFI / CFI RegSDTVXFB
FIGI / FIGI RegSBBG00L3FNL86
WKN / WKN RegSA192Y3
TickerLANIFI 2.87 10/11/47 EMTN

Primary placement

Issuer rating on issue date (M/S&P/F)***/***/***
Placement**/**/****
Initial issue price (yield)***% (*.**%)
Settlement Duration**.**

Participants

Bookrunner: Nomura International
Depository: Clearstream Banking S.A., Euroclear Bank

Payment schedule

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