Arise AB calls for early redemption of its secured bonds maturing in 2021
Arise AB (publ), (”Arise”) gives notice of voluntary total redemption of its senior secured green bonds 2018/2021 with ISIN SE0010920900 (the ”Bonds”), in accordance with the terms & conditions of the Bonds.
The redemption date is set to October 14, 2020. The Bonds will be redeemed at their nominal amount, together with accrued but unpaid interest up until and including the redemption date. The redemption amount will be paid to each person who is registered as owner of Bonds in the debt register maintained by Euroclear Sweden at the end of business on the record date 7 October, 2020.
An irrevocable notice of voluntary total redemption is sent on 18 September 2020 to directly registered owners and registered authorised nominees (Sw. förvaltare) of the Bonds as of September 17, 2020 in the debt register.
In connection with the redemption, the Bonds will be delisted from Nasdaq Stockholm.
This announcement is for information purposes only and is not to be construed as an offer to purchase or sell or a solicitation of an offer to purchase or sell with respect to any securities of Arise.
Halmstad 18 September, 2020
ARISE AB (publ)
For further information, please contact
Linus Hägg, CFO, Arise AB, +46 702 448 916
Arise is one of Sweden's leading wind power companies, with the business concept to develop, build and manage onshore wind farms for its own account and on behalf of investors. The company is listed on NASDAQ Stockholm.
Arise AB (publ), P.O. Box 808, SE-301 18 Halmstad, Sweden, telephone +46 (0)10 450 71 00, corporate id. no. 556274-6726
E-mail firstname.lastname@example.org, www.arise.se