Convertible Bond

EUR 165,000,000 Senior, Unsecured Convertible Bonds due 23 November 2023 (the “Bonds”)

Notice of adjustment of the Conversion Price and the Reference Dividend (both as defined in the terms and conditions of the Bonds) due to the distribution of Extraordinary Dividend to the Company’s shareholders

16 October 2020

Convertible Bond

Notice to Bondholders

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