Lauritz.com A/S – Notice to Bondholders – Amortization
Published: 2022-05-25 11:00
No. 1/2022
Copenhagen, 25 May 2022
With reference to section 11.5 of the bond terms amended and restated as of 15 July 2021 below please find the information to be given to bondholders regarding the Mandatory Early Partial Redemption by the issuer.
Date of payment | 17 June 2022 |
Record Date | 10 June 2022 |
Amortization bond | SEK 15.000.175 |
Aggregate Nominal Amount, remaining after Amortization | SEK 139.999.420 |
ISIN | SE0005999521 |
Best regards
Lauritz.com A/S
Preben Vinkler Lindgaard
CFO
For press enquiries please contact:
Mette Jessen
E-mail press@lauritz.com
This information was submitted for publication at 12.00 (noon) CEST on 25 May 2022.
