- Home
- Equities - Stocks - Shares
- Company Press Releases
- OCI N.V. Announces Optional Redemption of Its €339 Million 3.875% Convertible Bonds (ISIN: XS0974154550)
OCI N.V. Announces Optional Redemption of its €339 Million 3.875% Convertible Bonds (ISIN: XS0974154550)
23 Mar 2018 15:00 CET
Issuer
OCI N.V.
The Bonds will be redeemed at their aggregate principal amount together with accrued but unpaid interest up to (but excluding) the Optional Redemption Date.
Application will also be made for the listing and trading of the Bonds on the Freiverkehr segment of the Frankfurt Stock Exchange to be cancelled immediately following such redemption.
This announcement contains inside information for the purposes of the EU Market Abuse Regulation (EU) 596/2014. In accordance with the above and Article 2 of Commission Implementing Regulation (EU) 2016/1055, this announcement is made by Hassan Badrawi, Chief Financial Officer of OCI N.V.
THIS NOTICE IS IMPORTANT AND REQUIRES THE IMMEDIATE ATTENTION OF HOLDERS. IF HOLDERS ARE IN ANY DOUBT AS TO THE ACTION THEY SHOULD TAKE, THEY SHOULD SEEK THEIR OWN FINANCIAL AND LEGAL ADVICE
Connect_oci_n_v__announces_optional_redemption_notice_final.pdf
Source
OCI
Provider
Euronext
Company Name
OCI
ISIN
NL0010558797
Symbol
OCI
Market
Euronext