May 5 (Reuters) -Following are terms and conditions
of a FRN priced on Tuesday.
Borrower
AF AB
Issue Amount
700 million Swedish crown
Maturity Date
May 12, 2020
Coupon
3-month Stibor + 115 basis points
Issue price
Par
Reoffer price
Par
Payment Date
May 12, 2015
Lead Manager(s)
Handelsbanken
Listing
Stockholm
Full fees
Undisclosed
Denoms (m)
1
Governing Law
Sweden
ISIN
SE0007074620
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