Redemption of bonds with ISIN SE0009320617

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Betsson AB (publ) (the “Company” or “Betsson”) gives notice of voluntary total redemption of its outstanding bonds 2016/2019 with ISIN SE0009320617 (the “Bonds”).

The redemption date is set to October 22, 2019. The Bonds will be redeemed at their nominal amount, together with accrued but unpaid interest. 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 end of business on October 15, 2019. In connection with the redemption, the Bonds will be delisted from Nasdaq Stockholm.

A notice of voluntary total redemption is sent to directly registered owners and registered authorised nominees (Sw. förvaltare) of the Bonds as of September 25, 2019 in the debt register.

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 Betsson.

For further information, please contact the Company at:

Pontus Lindwall, CEO Betsson AB and President
pontus.lindwall@betssonab.com

Martin Öhman, CFO Betsson AB
martin.ohman@betssonab.com

This information was submitted for publication, through the agency of the contact persons set out above, on September 26, 2019, at 16:00 CET.  

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