X

Instruments

Issuer Multitude Capital Oyj, reg. no. 3454519-9
Guarantor
Multitude SE
ISIN
NO0013259747
Nominal Amount
EUR 1,000
Floating Rate Margin
6.75 per cent per annum
First Issue Date
27 June 2024
Final Redemption Date
27 June 2028 (4 years after the First Issue Date) at a price equal to 100.00 per cent of the Nominal Amount
Interest Payment Dates 27 September, 27 December, 27 March and 27 June each year. The first Interest Payment Date shall be 27 September 2024. The last Interest Payment Date shall be the Final Maturity Date
Documents Prospectus
Prospectus – Swedish translation
Multitude Capital Oyj - Terms and Conditions
Multitude - Guarantee and Adherence Agreement
Multitude - Agency Agreement – Redacted