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Information to the Noteholders of the Outokumpu Notes due 2021

10 May 2017

Outokumpu announced today the voluntary redemption of EUR 25 million related to its outstanding EUR 250 million senior secured notes due 2021 with 7.25% interest rate (OUTJO72521, ISIN code FI4000210646). Ten percent of the outstanding nominal amount of each note will be redeemed by Outokumpu on the redemption date of June 16, 2017 in accordance with the terms and conditions of the notes. The notes are listed on the Nasdaq Helsinki Ltd.

Intertrust (Finland) Oy is acting as Agent on behalf of the Noteholders under the Terms and Conditions.

If you have any questions, please do not hesitate to contact Outokumpu or the Agent as per below.

Please find the attached notice from Outokumpu here


Timo Talvitie

tel +358 9 8560 6303

mobile +358 50 5755 776

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