Skip to main content

Notice of early redemption Betsson AB (publ) ISIN SE0009320617

26 September 2019

Reference is made to the terms and conditions for the up to SEK 2,000,000,000 senior unsecured floating rate bonds (the “Bonds“) issued by Betsson AB (publ) on 28 November 2016 in accordance with the terms and conditions for the Bonds (the “Terms and Conditions“).

Betsson AB (publ) hereby gives notice to all Bondholders of the outstanding Bonds for voluntary total redemption of the Bonds in full in accordance with Clause 8.3 (Voluntary total redemption) of the Terms and Conditions. The date of the voluntary total redemption (the “Redemption Date“) is expected to be 22 October 2019 and the Record Date for the voluntary total redemption is consequently expected to be 15 October 2019, i.e. five (5) Business Days prior to the Redemption Date.

Please see the full notice from the Issuer here, which has been distributed to the Noteholders.

For further information, please contact the Agent.

Intertrust (Sweden) AB
Beatrice Gustafsson
Phone: +46 70 141 10 82

Latest Insights & Events