Heimstaden Bostad Treasury B.V. (the “Issuer”) hereby gives notice of redemption to the holders of the Notes.
Pursuant to Condition 7.3 (Redemption at the option of the Issuer (Issuer Call)) of the terms and conditions of the Notes (the “Conditions”), it is exercising its option to redeem in full all of the outstanding Notes on 21 January 2022 (the Optional Redemption Date for the purposes of the Conditions).
The Notes shall be redeemed at a price of EUR 1,000 per Calculation Amount (the Optional Redemption Amount for the purposes of the Conditions).
Pursuant to Condition 7.9 (Cancellation) of the Conditions, all Notes redeemed will be cancelled.
Terms used but not defined in this announcement shall have the meanings given to them in the Conditions.
