Notice of Redemption to Holders of Mercialys
September 11 2024 - 4:00AM
Business Wire
Regulatory News:
Mercialys (Paris:MERY) (the
“Issuer”) €300,000,000 4.625 per cent. Bonds due 7 July 2027
(the “Bonds”) ISIN: FR0013522091 Common Code:
219843151
Make-whole Redemption Date: 26 September
2024
Notice is hereby given to the holders of Bonds (of which
€200,000,000 are currently outstanding) pursuant to Conditions
5(c)(ii) (Make-whole Redemption by the Issuer) and 10 (Notices) of
the terms and conditions of the Bonds contained in the prospectus
relating to the issue of the Bonds which received approval number
n°20-303 of the French Autorité des marchés financiers on 3 July
2020 (the “Prospectus”), that the Issuer has elected to
redeem all of the outstanding Bonds at a price per Bond equal to
the Make-whole Redemption Amount, together with interest accrued
to, but excluding, the Make-whole Redemption Date. Terms used but
not defined herein shall have the meanings ascribed to them in the
Prospectus.
The relevant next steps and dates in relation to the upcoming
redemption are as follows:
1. The Make-whole Redemption Amount will be calculated by the
Calculation Agent in accordance with the provisions of Condition
5(c)(ii) of the Prospectus and will be subject of a further notice
to be published by the Issuer on or around 20 September 2024.
2. The Make-whole Redemption Date for the Bonds will be 26
September 2024.
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