pta20240403037
Public disclosure of inside information according to article 17 MAR

OMV Aktiengesellschaft: OMV resolves on the redemption of the Hybrid Bond 2018

Vienna (pta037/03.04.2024/13:40 UTC+2)

Today, the Executive Board of OMV Aktiengesellschaft ("OMV") has decided to call and redeem at its nominal value (plus any interest accrued but yet unpaid) the EUR 500,000,000 Perpetual Subordinated Fixed to Reset Rate Notes (ISIN XS1713462403, WKN A1919E) issued by OMV in 2018 ("Hybrid Bond 2018") in accordance with § 5 (3) of the terms and conditions of the Hybrid Bond 2018 effective on June 17, 2024. Formal notice of termination of the Hybrid Bond 2018 will be published separately in accordance with the terms and conditions of the Hybrid Bond 2018. The redemption payment to the noteholders will be effected through the paying agent.

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Emitter: OMV Aktiengesellschaft
Trabrennstraße 6-8
1020 Wien
Austria
Contact Person: Thomas Hölzl
Phone: +43 1 40440/23760
E-Mail: compliance@omv.com
Website: www.omv.com
ISIN(s): AT0000743059 (Share)
Stock Exchange(s): Vienna Stock Exchange (Official Trade)
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