Financial information
Lumo Homes plc (previously Kojamo plc) has established a EUR 2,500,000,000 EMTN (“Euro Medium Term Note”) programme on 20 March 2020. The proceeds from notes issued under the Programme will be applied by Lumo for its general corporate purposes.
Bonds issued under the programme
| Type | Senior Unsecured Bond | Senior Unsecured Green Bond | Senior Unsecured Green Bond | Senior Unsecured Bond |
|---|---|---|---|---|
| ISIN | XS3381150914 | XS3022388980 | XS2345877497 | XS2179959817 |
| Issue date | 20 May 2026 | 12 March 2025 | 28 May 2021 | 27 May 2020 |
| Outstanding amount, M€ | 300 | 500 | 550 after private placement in January 2024 | 500 |
| Coupon, % | 4.000 | 3.875 | 0.875 | 1.875 |
| Maturity date | 20 May 2030 | 12 March 2032 | 28 May 2029 | 27 May 2027 |
Attachments
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Lumo Unsecured Notes Final Terms May 2026
Lumo Base Prospectus Supplement 11 May 2026
Lumo Base Prospectus Update 19 March 2026
Lumo Homes Articles of Association 13 March 2026
Agency Agreement 19 March 2026
Kojamo Unsecured Notes Final Terms March 2025
Kojamo Base Prospectus Update 25 February 2025
Kojamo Base Prospectus Update 26 March 2024
Kojamo Base Prospectus Supplement 09 November 2023
Kojamo Base Prospectus Update 29 March 2023
Agency Agreement 29 March 2023
Kojamo Unsecured Notes Final Terms March 2022
Kojamo EMTN Base Prospectus Update 16 March 2022
Kojamo Unsecured Notes Final Terms May 2021
Kojamo Base Prospectus Supplement 13 May 2021
Kojamo EMTN Base Prospectus Update 23 March 2021
Kojamo Base Prospectus Supplement 18 May 2020
Kojamo plc Articles of Association 20 March 2020