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124 results:
18.03.2021

Annual_Report_2020.pdf

… been reviewed and measures defined to enable the group company to achieve a break-even result by 2023. Five years ago, Swiss Prime Site started a process of renewal within the Board of Directors. My…

13.10.2021

Prospectus_with_integrated_fund_contract_SPSS_IF_Commercial_en_09-2021.pdf

… first possible date for notice of termination is 30 September 2022, with effect from 30 September 2023. b) the investor no longer meets the legal or contractual requirements for participation in this real…

08.11.2022

Report_2021.pdf

… to be han­ ding over such a prominent piece of real esta­ te to an equally prominent tenant in 2023. Sustainability has been a top priority for us for a long time and we want to be carbon-neu­ tral by…

17.02.2022

SPS_GB21_Report_en-link.pdf

… to be han­ ding over such a prominent piece of real esta­ te to an equally prominent tenant in 2023. Sustainability has been a top priority for us for a long time and we want to be carbon-neu­ tral by…

27.02.2020

Integrated_Report_2019.pdf

… to carry out an early extension to its asset management contract with Swiss Prime Site Solutions, to 2023. Since the beginning of the mandate, SPIF’s real estate assets have grown from CHF 1.4 billion to more…

27.02.2020

Annual_Report_2019.pdf

… to carry out an early extension to its asset management contract with Swiss Prime Site Solutions, to 2023. Since the beginning of the mandate, SPIF’s real estate assets have grown from CHF 1.4 billion to more…

05.01.2021

Swiss_Prime_Site_-_Green_Bond_-_Final_Prospectus16_December_2020.pdf

… bonds of the Guarantor are outstanding: Coupon Maturity Nominal ISIN 0.250% June 16, 2023 CHF 250,000,000 CH0328111569 0.325% January 16, 2025 CHF 300,000,000 CH0397642775 Own Equity…

09.03.2021

Swiss_Prime_Site_-_Green_Bond_-_Final_Prospectus_dated_February_9_2021__APPROVED_.pdf

… bonds of the Guarantor are outstanding: Coupon Maturity Nominal ISIN 0.250% June 16, 2023 CHF 250,000,000 CH0328111569 0.325% January 16, 2025 CHF 300,000,000 CH0397642775 Own Equity…

04.12.2019

Strategy_Management_Report_2016.pdf

… for refinancing at attractive medium- to long-term conditions. KEY DATA Convertible bonds in 2016 2023 Issuing volume CHF m 190.35 250.0 Nominal value as at balance sheet date CHF m – 250.0 …

27.02.2020

GRI-Report_2019.pdf

… carry out an early extension to its asset management contract with Swiss Prime Site Solutions until 2023. This is an expression of confidence in the tailor-made services and the extensive market knowledge of…

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