4 World Trade Center LLC

Unverified
XFID Unique Identifier for 4 World Trade Center LLC: XOD3XIPACU
Website
spowidget.iss-corporate.com
4 Second Party Opinions
XFID Type Title Year Source Retrieved
XF-IZPPG59-3 Second Party Opinion ISS ESG Second Party Opinion — 4 World Trade Center LLC 2024 spowidget.iss-corporate.com 20 Mar 2026
XF-BBMN6XM-F Second Party Opinion ISS ESG Second Party Opinion — 4 World Trade Center LLC 2025 spowidget.iss-corporate.com 20 Mar 2026
XF-I4F6W6L-F Second Party Opinion REPORT REVIEW 2026 spowidget.iss-corporate.com 20 Mar 2026
XF-878OA38-W Second Party Opinion 4 World Trade Center Green Bond Framework Second Party Opinion (2021) 2021 mstar-sustops-cdn-mainwebsite-s3.s3.amazonaws.com 5 Mar 2026

XF Company Profile

Extra-financial information found across 4 documents in the XframeworkID registry

NACE L Real Estate Activities

Information extracted from documents in the registry. Values are as disclosed; this is not an assessment or rating. Last updated 2 Jun 2026.

Issuer Identity & Structure

Issuer name and country/jurisdiction
7R Group, Poland SPO 2025
Issuer sector/industry classification
Real Estate Activities Company Profile

Standards & Regulatory Alignment

Alignment with ICMA Green Bond Principles
Green Bond Principles (GBP) as administered by ICMA (June 2021 with June 2022 Appendix 1) SPO 2025
Compliance with Green Loan Principles
Green Loan Principles (GLP) as administered by LMA (February 2023) SPO 2025
Alignment with ICMA Harmonized Framework for Impact Reporting
Harmonized Framework for Impact Reporting, ICMA, June 2024 Report Review 2026

External Review & Verification

Second Party Opinion (SPO) provider name and assessment date
ISS, 09 July 2025 SPO 2025
SPO assessment scope and methodology
Verification against Green Bond Principles (GBP) and Green Loan Principles (GLP); assessment of Green Finance Framework and Eligibility Criteria SPO 2025

Green / Sustainable Finance Framework

Bond types covered under framework
Green Finance Instruments (Green Bonds and Green Loans) SPO 2025
Sustainable bond framework name and version
7R Green Finance Framework (as of May 30, 2025) Report Review 2026

Issuance Details

Bond ISIN code
PL7RSA000027 Report Review 2026
Bond maturity date
2028 Report Review 2026
Par or principal amount of bond and currency
EUR 35,348,000 (February 2025 issue); EUR 22,881,000 (June 2025 issue); EUR 19,771,000 (September 2025 issue); EUR 2,500,000 (January 2026 issue) Report Review 2026
Bond issuance date
February 2025, June 2025, September 2025, January 2026 Report Review 2026

Changes Over Time

Items where disclosed information changed across documents.

Bond types covered under framework
2024 Green Finance Instruments (Green Bonds and Green Loans)
2025 Green Finance Instruments
Alignment with ICMA Green Bond Principles
2024 Green Bond Principles (June 2021 with June 2022 Appendix 1)
2025 Green Bond Principles (GBP) as administered by ICMA (June 2021 with June 2022 Appendix 1)
Compliance with Green Loan Principles
2024 Green Loan Principles (February 2023)
2025 Green Loan Principles (GLP) as administered by LMA (February 2023)
SPO provider name
2025 ISS Corporate Solutions, Inc.
2026 ISS
SPO assessment date
2025 9 July 2025
2026 03 February 2026
SPO assessment scope
2025 7R Green Finance Framework and 7R Eligibility Criteria
2026 Bond allocation and impact reporting verification against Green Finance Framework and ICMA Harmonized Framework for Impact Reporting