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VERISURE EUR 5.0YR CRP B FIXED RATE SYNDICATED GLOBAL BOND MARKET PLACEMENT (XS2581647091)

Post Date: 26 January 2023
Verisure Holding AB has priced a syndicated EUR denominated Global market bond which matures in 2028. 

Gold users are able to click on the ISIN to check the full term sheet for this deal. XS2581647091

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Issuer Details
Issuer Verisure Holding AB
LEI 549300VQQCWGISM3N408
Industry Electronic Equipment and Instruments
Country Sweden
Issuer Description Verisure Holdings provides home security services in Europe. The company provides intrusion and fire alarms, and connected services for homes.
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Trade Details
Security Type Bond
Amount EUR [Login to see full details]
Total Amount including taps EUR [Login to see full details]
Total Amount Outstanding EUR [Login to see full details]
Total Order Book EUR [Login to see full details]
Structure Fixed Rate
Coupon [Login to see full details]
Price [Login to see full details]
Reoffer [Login to see full details]
Term [Login to see full details]
Yield Notes [Login to see full details]
Trade Date [Login to see full details]
Settlement Date [Login to see full details]
Maturity Date [Login to see full details]

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A Global Distribution bond is a bond issued in a form that allows it to be traded in both the relevant local (onshore) and the offshore international, also called eurobond, market. To allow for this Global Market bonds typically have two ISINs, one for clearing in the local onshore market and one for clearing in the offshore international eurobond market. It can be denominated in any freely tradeable currency.

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