- Entity formation
- Entity management
- M&A transaction support
- Private capital & hedge fund core services
- Private capital
- Hedge fund
- Technology solutions
- Other funds services
- SPV corporate services
- Agency services
- Loan administration
- Cross capital market services
- Structures implementation and management
- Private wealth services
- Reporting and communication
- Home
- Our services
- Corporate Client Services
- Entity formation
- Entity management
- M&A transaction support
- Private Capital & Hedge Fund Services
- Private capital & hedge fund core services
- Private capital
- Hedge fund
- Technology solutions
- Other funds services
- Capital Markets
- SPV corporate services
- Agency services
- Loan administration
- Cross capital market services
- Private Wealth
- Structures implementation and management
- Private wealth services
- Reporting and communication
- Corporate Client Services
- Our locations
- About us
- News & insights
- Login
Capital Markets
- Listing agent
- Loan administration
- Process agent
- Trustee services
- Facility agent
- Cash management
- Fund finance advisory
- Public Transactions
- Bond Assignments
- Bond News
Can’t find what you’re looking for?
We can help with management and administration services to debt issuances, securitisation, structured and alternative finance transactions.
Make an enquiryNotice of outcome in the written procedure for Hultqvist Alfa AB (publ)
18 October 2019
To the bondholders in senior secured callable fixed rate bonds with ISIN SE0010713800, NO0010812571 and SE0010713792 (the “Bonds”) issued by Hultqvist Alfa AB (publ) (the “Issuer”).
In the written procedure for which notice was given on 27 September 2019 and last date to vote was 17 October 2019, the trustee hereby announces the successful completion of the written procedure in relation to the Bonds regarding a partial redemption and certain amendments to the terms and conditions.
In accordance with the notice to the written procedure the partial redemption was expected to be 25 October 2019 but due to technical issues with the CSD the date of the voluntary partial redemption is expected to be 1 November 2019 and the Record Date for the voluntary partial redemption is consequently expected to be 25 October 2019.
For further information, please contact:
Beatrice Gustafsson
Intertrust (Sweden) AB
Mail: [email protected]
Phone: +46 70 141 10 82
Our services
Corporate Client Services
Operating internationally can be challenging. You need a partner who understands local rules, culture and customs and how they affect legal and regulatory requirements. That’s where we come in.
Can't find what you're looking for?
View all corporate client servicesPrivate Capital & Hedge Funds Services
We differentiate our global leading fund services through our geographical spread, domain strength, technology offering and depth of services.
Can't find what you're looking for?
View all private capital & hedge fund servicesCapital Markets
As capital markets evolve across the globe, you need a bespoke approach from a service provider with a genuine understanding of how markets are changing.
Can't find what you're looking for?
View all capital markets servicesPrivate Wealth
By understanding the importance of long-term relationships built around trust, we aim to truly understand your values. We’re your partner to help you protect, preserve and plan for the future.
Can't find what you're looking for?
View all private wealth servicesLatest Insights & Events
Capital Markets
Can’t find what you’re looking for?
We can help with management and administration services to debt issuances, securitisation, structured and alternative finance transactions.
Make an enquiry