SBB announces that the Financing Conditions for the voluntary total redemption of the outstanding senior unsecured floating rate bond issued by Hemfosa with ISIN SE0009664337 has been satisfied
Samhällsbyggnadsbolaget i Norden AB (publ) ("SBB" or the "Company") announced, via a press release, 26 June 2020 that its subsidiary Hemfosa Fastigheter AB (publ) ("Hemfosa" or the "Issuer") exercise its call option to total redemption of the outstanding unsecured floating rate bond with ISIN SE0009664337 (the "Bonds"). The total redemption was conditioned upon another Market Loan being issued to refinance the Bonds ("Financing Condition"). The Issuer today announces that the Financing Condition is satisfied and that the total redemption of the Bonds will take place 17 July 2020.