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

Prospectus POSRSV 3 ¾ 11/07/39

Credit rating POSRSV 3 ¾ 11/07/39

News

17 November 2023

Financial calendar for 2024

Pursuant to the rules of the Ljubljana Stock Exchange, Ljubljana, and relevant legislation, Sava Re d.d., Ljubljana, makes the following announcement: Sava Re d.

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17 November 2023

Corporate Governance Policy of Sava Re d.d.

Pursuant to the rules of the Ljubljana Stock Exchange, Ljubljana, and the Market in Financial Instruments Act, Sava Re d.d., Dunajska 56, 1000 Ljubljana (also the...

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17 November 2023

Nine-month results for 2023: Sava Insurance Group achieves robust growth in business volume and generates pre-tax profit of more than €45m

Pursuant to the rules of the Ljubljana Stock Exchange, Ljubljana, and the Market in Financial Instruments Act, Sava Re d.d., Dunajska 56, Ljubljana, makes the...

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