SPP Pension & Försäkring AB - Redemption of Perpetual Subordinated Floating Rate Notes (ISIN: SE0005731882)
STOCKHOLM, Sweden, Jan 3, 2017 /PRNewswire/ -- Correction: Reference is made to the press release sent 27 December 2016. Please note that SPP has changed the Redemption Date from 10 January 2017 to 11 January 2017. Accrued interest and the additional one time amount will also be paid on 11 January 2017. Record Date has therefore been set to 3 January 2017.
Contacts:
Head of Investor Relations Kjetil R. Krøkje T: +47 934 12 155, kjetil.r.krokje@storebrand.no
Finance Director Storebrand Sigbjørn Birkeland, T:+47 934 80 893, sigbjorn.birkeland@storebrand.no
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