As less than 15 per cent of the aggregate principal amount of the EUR 375 million 1.50% senior unsecured exchangeable Bonds due 2019 (ISIN XS1108672988; the "Bonds") remains outstanding, pursuant to § 5 para 4 of the Terms and Conditions, IMMOFINANZ AG (the "Issuer") announces the exercise of the redemption of all of the remaining Bonds at their Principal Amount plus accrued interest on 2 November 2015 (the “Call Redemption Date”).
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