Heimstaden Bostad - Investors

Euro Medium-Term Note Programme

IssuerHeimstaden Bostad AB (publ) and Heimstaden Bostad Treasury B.V.
Latest updated prospectus7 March 2025 (valid for 12 months)
AmountEUR 12,000,000,000 (equivalent of)
Allowed MaturitiesIn agreement between the Borrower and the relevant Issuer, taking into account regulatory and legal restrictions applicable to the Borrower and the relevant currency at all times.
Allowed CurrenciesSubject to any applicable legal or regulatory restrictions, Notes may be denominated in any currency agreed between the relevant Issuer and the relevant Dealer.
Governing LawEnglish law, except for securities that are registered with the Norwegian VPS and fall under Norwegian law.
ArrangerDeutsche Bank
DealersBNP Paribas, Danske Bank, Deutsche Bank, DNB Bank, ING Bank, J.P. Morgan, Nordea
Issuing and Principal Paying agentDeutsche Bank AG, London Branch
ListingEuronext Dublin and Oslo Stock Exchange (Oslo Børs)
Documents available atIrish Stock Exchange

€12,000,000,000 EMTN (26 August 2021)

Base Prospectus

Supplement No. 1

Supplement No. 2

Supplement No. 3

€2,500,000,000 EMTN (14 November 2018)

Base Prospectus

Supplement No. 1