Featured events

Events | Virtual

Bankruptcy and Restructuring: Navigating Distress in the Evolving Markets

22 Jun 2023

Learn more >

Events | Virtual

Private Funds Industry Live, Expanding Private Funds in Global Markets

10 Jan 2023

Watch the recording >

Events | Virtual

Private Funds Industry Live, Demystifying Private Capital Funds

6 Dec 2022

Watch the recording >
Show all events >

To the noteholders in senior secured floating rate notes 2019/2022 with ISIN: SE0010599498 (the “Notes”) issued by Golden Heights AB (publ) (the “Issuer”) on 8 March 2019 (the “Noteholders”).

23 November 2021

Intertrust (Sweden) AB (the “Agent”) is acting as Agent on behalf of the Noteholders under the terms and conditions relating to the Notes originally dated 8 March 2019 (the “Terms and Conditions”). Capitalized terms not defined herein shall have the same meaning as in the Terms and Conditions.

Subject to the satisfaction of the Transaction Condition (as defined below), notice is hereby given pursuant to clause 10.3 (Voluntary Total Redemption (call option)) of the Terms and Conditions, that the Issuer is exercising its option to redeem in full all outstanding Notes on 17 December 2021 (the “Redemption Date”).

The Record Date on which a person shall be registered as Noteholder to receive the amounts due on the Redemption Date is 10 December 2021 or such later date occurring five (5) Business Days prior to the Redemption Date.

The Issuer’s obligation to redeem any of the Notes on the Redemption Date is conditional upon the Issuer receiving the proceeds from the issue of new senior secured floating rate notes, which are to be applied towards the redemption of the Notes (the “Financing Condition”). The redemption of the Notes as described herein, and the giving of this notice, is subject to and conditional upon the satisfaction of the Financing Condition, and the Issuer shall not, and shall have no obligation to, redeem any of the Notes pursuant to this notice unless the Financing Condition has been satisfied.

The full Redemption Notice from the Issuer can be downloaded below.

Golden Heights AB (publ)_Call Notice (23 Nov 2021)

For questions to the Issuer regarding the request, please contact Madeléne Wingård, Managing Director, on +46 340 59 54 10.

For questions to the Agent, please contact Linus Löfgren at [email protected].

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 services

Private 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 services

Capital 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 services

Private Clients

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 client services