Luminor Bank AS

Estonia EEA Member

Pool Program details

Identifier Luminor Bank AS Euro Medium Term Note and Covered Bond Programme
Country Estonia
Legal framework Estonian Covered Bonds
Harmonised transparency template https://luminor.ee/
Pool type Mortgage
Description Claims that rise from credits granted to natural persons against mortgages established on residential property.

Bond details

ISIN XS2453977980
Other identifier 245397798
Face value (EUR) 500,000,000
Initial Issuance Date 08/03/2022
Maturity Date 08/03/2027
EU Label European Covered Bond (Premium)
Maturity profile HB
Tapped No
Coupon Type Floating
Syndicated No
Listed Yes
LCR 1
Description Retained Covered Bond
Additional Information Listed: Irish Stock Exchange plc (ISE); Trading: Euronext Dublin