Bonds of Zavarovalnica Triglav
Zavarovalnica Triglav issued a series of bonds. The bonds were issued as subordinated, registered, Euro-denominated bonds at a fixed rate of 5.95%. The bond’s nominal value was EUR 30 million. The last coupon and the principal will fall due on 21 March 2020.
Since 30 June 2010, the bonds, bearing the ticker symbol ZT02 and ISIN Code SI0022103038, have been traded on the bond market of the Ljubljana Stock Exchange.