30 April 2019
Pursuant to the Terms and Conditions, payment of Interest on the Bonds should have been made on the Interest Payment Date falling on 30 April 2019. The Trustee is hereby informing the Bondholders that the Issuer has informed the Trustee that it will not be able to pay Interest on such Interest Payment Date and consequently an Event of Default pursuant to Clause 14.1 (Non-Payment) of the Terms and Conditions is continuing.
The full notice with additional information can be found here.
For questions please contact the Trustee.
Kristofer Nivenius
trustee@intertrustgroup.com
Phone: +46 70 688 1910