20 December 2024
To the bondholders in: ISIN: SE0020849396 (SEK) and SE0020849388 (EUR) – Regenergy Frövi Aktiebolag, maximum EUR 70,000,000 (or its equivalent in SEK and EUR) Senior Secured Fixed Rate Bonds 2023/2025.
Regenergy Frövi Aktiebolag (corporate identity number 559251-2031) (the “Company”) hereby gives notice to all bondholders of the up to EUR 70,000,000 senior secured fixed rate bonds 2023/2025 with ISIN SE0020849396 (SEK) and SE0020849388 (EUR) issued by the Company (the “Bonds”), of a voluntary total redemption (call option) of the Bonds in accordance with Clause 9.3 (Voluntary total redemption (call option)) of the terms and conditions for the Bonds (the “Redemption”).
The Redemption Date for the Redemption will be 21 January 2025 and the Record Date for the Redemption will be 13 January 2025.