Bond issue details
Issuer | Sava Re d.d. |
Type | subordinated (Tier 2), issued under Solvency II |
Rating of the issue | BBB+ (S&P) |
Issue size | €75,000,000 |
Denomination | €100,000 |
Re-offer price | 99.998% |
Redemption price | 100.00% |
Coupon p.a. up to first call date | 3.75% |
Coupon p.a. after first call date | 3-month Euribor + 4.683% (equal to the original issue spread 368.3bps plus 100bps step-up) |
Final maturity date | 07/11/2039 |
First call date | 07/11/2029 |
Listing | Luxembourg Stock Exchange |
News
22 December 2020
Notification of managers’ transactions in POSR shares
Pursuant to the rules of the Ljubljana Stock Exchange d.d. Ljubljana and the Market in Financial Instruments Act, Sava Re d.d., Dunajska 56, 1000 Ljubljana (also:...
18 December 2020
Annual plan of the Sava Insurance Group for 2021
Pursuant to the rules of the Ljubljana Stock Exchange d.d., Ljubljana, and the Market in Financial Instruments Act, Sava Re d.d., Dunajska 56, 1000 Ljubljana, makes...
20 November 2020
Pursuant to the rules of the Ljubljana Stock Exchange d.d., Ljubljana, and the Market in Financial Instruments Act, Sava Re d.d., Dunajska 56, 1000 Ljubljana, makes...