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Estea Logistic Properties 5 AB (publ) inform the Noteholders of voluntary early redemption of its notes

20 April 2017

Reference is made to Estea Logistic Properties 5 AB (publ) (the “Issuer”) senior unsecured callable fixed rate notes with ISIN SE0005569670 (the “Notes”).

We hereby wish to inform you that the Issuer has given notice to the Agent, thus the Noteholders, of early redemption of the Notes in accordance with this press release from the Issuer.

In accordance with section 10.3.1 (b) in the Terms and Conditions the Notes will be redeemed at an amount per Note equal to 101 per cent of the Nominal Amount together with accrued but unpaid Interest on the Nominal Amount as the case may be.

The call option amount of the Notes will be disbursed to Noteholders registered as owners of the Notes with Euroclear Sweden AB on the Record Date which will be on the 2nd of May 2017. The redemption will occur on the 9th of May 2017 and the last trading date to have a transaction registered on such record date is 26th of April 2017.

In conjunction with the early redemption, the Notes will be delisted from the corporate bond list at NASDAQ Stockholm.

 

For further information;

The agent:

Intertrust (Sweden) AB

Sandra Andersson

Tel: +46 70-860 61 25

Email: trustee@intertrustgroup.com

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