Open Infra AB (publ) announces that the conditions for the early redemption of existing bonds 2021/2025 have been fulfilled
Open Infra AB (publ) (the "Company") announced on 9 September 2024 that it will redeem in full all of its outstanding bonds 2021/2025 with ISIN SE0017072358 (the "Bonds" and "Early Redemption").
The Early Redemption was conditional upon the Company being content of the successful satisfaction and/or waiver of the conditions precedent for utilisation pursuant to the Company's new financing as announced by the Company through a press release on 9 September 2024 (the "New Financing"). The conditions for the Early Redemption have been fulfilled. The Early Redemption is therefore no longer conditional and will consequently occur on 4 October 2024 (the "Redemption Date") at the redemption price of 102.1250 per cent. of the nominal amount together with accrued but unpaid interest up to (and including) the Redemption Date (the "Redemption Price"). The Redemption Price 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 27 September 2024.
For further information, please contact:
Erik Stiernstedt, CEO
+ 46 (0) 70 550 30 73, erik@openinfra.com