23 May 2019
Reference is made to the terms and conditions for the up to SEK 1,250,000,000 senior unsecured floating rate notes with ISIN SE0006259669 (the “Notes”) issued by Heimstaden AB (publ) (“Heimstaden”) initially on 16 September 2014 (the “Terms and Conditions”).
Heimstaden hereby gives notice to all Noteholders of outstanding Notes of exercise of Heimstaden’s call option for voluntary early redemption of the Notes in full in accordance with Clause 9.3 (Voluntary total redemption (call option)) of the Terms and Conditions (the “Redemption”). The Redemption Date is set to 20 June 2019 and the Record Date is consequently set to 13 June 2019, i.e. five (5) Business Days prior to the Redemption Date. The Redemption will be financed through the issue of new notes by Heimstaden.
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
Email: trustee@intertrustgroup.com