19 May 2022
Real Danmark ApS CVR-nr. 21 74 54 48 (”the Issuer”) has issued Bonds with ISIN: SE0013041522 (SEK Bond) and SE0013041530 (EUR Bond).
If nothing else is mentioned shall the wording that has been used in the Terms and Conditions and the Term Sheet be applicable in this notification.
The Final Maturity date of the Bonds is on the 3rd of June 2022. The Final Redemption Date can be extended with three (3) months is accordance with section 12.1.2 of the Terms and Conditions.
The Issuer requests that the Final Redemption Date of the Bonds shall be extended with three (3) months which will make the 3rd of September 2022 a new Final Redemption Date. The Issuer shall therefore redeem the Bonds on the 3rd of September 2022 with an amount per Bond equal to the Nominal Amount and the accrued but unpaid interest.
Notification of extension Real Danmark
Sincerely,
Henrik Wessmann
Real Danmark ApS