Bergkvist Siljan to redeem all of its issued bonds
Bergkvist Siljan has today decided to fully redeem all of its issued bonds with ISIN SE0012673952. The remaining nominal amount, along with a premium according to the terms and conditions as well as accrued interest, will be paid on October 28 2021. The record date is October 21 2021. - The strong and sustainable effects of the synergy initiatives and the positive market development during 2021 have improved the Group’s financial position. To redeem the bonds in entirety with cash flow from operations after less than 30 months and during a global pandemic is a sign of the solid work of