The proceeds will be used to refinance the EUR 500 million floating rate notes due January 2023 which are scheduled to be redeemed on 21 January 2022 in accordance with the notice given by Heimstaden Bostad on 21 December 2021.
An application will be made for the notes to be listed on Euronext Dublin. The final terms, once published, will be made available on Euronext Dublin and www.heimstadenbostad.com.
Deutsche Bank acted as sole bookrunner for the issuance of notes.
