Nynas AB (publ) to redeem its outstanding bonds
Nynas AB (publ) (the “Company”) will redeem the Company’s SEK 1,100,000,000 senior unsecured floating rate bonds 2014/2018 with ISIN SE0005994167 (the “Bonds”) on the final maturity date for the Bonds, being 26 June 2018. The redemption will be financed through funds received from the Company’s shareholders.The total outstanding amount under the Bonds is SEK 1,100,000,000. All Bonds will be redeemed at an amount equal to 100.00 per cent. of the nominal amount per Bond together with accrued but unpaid interest from but excluding the preceding interest payment date up to and including the