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Notification of Voluntary Total Redemption GG Development 3 ApS Second Lien

17 May 2019

GG Development 3 ApS (”the Issuer”) has issued Bonds at a nominal value of approximately DKK 40,000,000 or its equivalent in NOK, SEK and EUR with ISIN: SE0010101881 (SEK Bonds), NO0010798598 (NOK Bonds) and NO0010798606 (EUR Bonds).

The Issuer will exercise its right to redeem all outstanding Bonds in full 3 June 2019, (the “Redemption Date”), in accordance with clause 11.3 (Voluntary Total Redemption (call option)) of the terms and conditions. The redemption amount for each Bond shall be the applicable call option amount (being 100 per cent. of the Nominal Amount), plus accrued but unpaid Interest, and will be paid to the bondholders on the applicable record date being 23 May 2019 (the “Record Date”).

Please see the Issuer’s full notice here.


For further information, please contact:

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

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