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Notice of conditional early voluntary total redemption for the notes issued by Polygon AB (the “Issuer”) – SE0010830950

6 September 2021

To the noteholders in senior secured fixed rate notes 2018/2023 with ISIN: SE0010830950 (the “Notes”) issued by Polygon AB (the “Issuer”) on 20 February 2018 (the “Noteholders”).

Intertrust (Sweden) AB (the “Agent”) is acting as Agent on behalf of the Noteholders under the terms and conditions relating to the Notes originally dated 20 February 2018 (the “Terms and Conditions”). Capitalized terms not defined herein shall have the same meaning as in the Terms and Conditions.

Subject to the satisfaction of the Transaction Condition (as defined below), notice is hereby given pursuant to clause 9.3 (Voluntary Total Redemption) of the Terms and Conditions, that the Issuer is exercising its option to redeem in full all outstanding Notes on 7 October 2021 (or, as soon as possible thereafter, if a postponement is required due to issues of a technical or systems-related nature) (the “Redemption Date”), at a redemption price of 101 per cent. of the Nominal Amount (as defined in the Terms and Conditions), together with accrued but unpaid interest (the “Redemption Price”).

The record date on which any Noteholder must hold any Note to be entitled to the Redemption Price is 30 September 2021.

In connection with the redemption, the Notes will be delisted from Nasdaq Stockholm. The last day of trading of the Notes is expected to be 28 September 2021 (“the “Last Day of Trading”).

The full Redemption Notice from the Issuer can be downloaded below.

Polygon_Notice of conditional redemption_20210906

For questions to the Issuer regarding the request, please contact Martin Hamner, Chief Financial Officer on

For questions to the Agent, please contact Linus Löfgren at

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