2019-08-22 19:00
Swedbank issues Additional Tier 1 Capital
The loan is perpetual with a call option after 5 years. The issuance is in the form of debt instruments with mandatory conversion into ordinary shares if the regulatory capital of the bank decreases to a certain level.
The issuance will be subscribed by and allotted to the joint lead managers. Settlement date is 29 August 2019. The instruments will be listed on the Global Exchange Market regulated by the Irish Stock Exchange.
For further information, please contact:
Gregori Karamouzis, Head of Investor Relations, phone: +46 72 740 63 38, gregori.karamouzis@swedbank.com
Swedbank AB (publ) is required to disclose this information pursuant to Regulation (EU) No 596/2014 on market abuse, the Swedish Securities Markets Act (2007:528), the Swedish Financial Instruments Trading Act (1991:980) and the regulatory framework of Nasdaq Stockholm. This information was sent to be published on 22 August 2019 at 19.00 CET.