pta20210225055
Business news for the stock market

N+V AG: Purchase offer to the holders of bonds issued by Lehman Brothers Holding Inc.

Zürich (pta055/25.02.2021/16:00 UTC+1) Holders of bonds issued by Lehman Brothers Holding Inc. ISIN
XS0073472606 / XS0082350587 / XS0128857413 / XS0138439616 / XS0167792026 / XS0179304869 / XS0181712364 / XS0183944643 / XS0185590139 / XS0189741001 / XS0193035358 / XS0196298219 / XS0205185456 / XS0210414750 / XS0213899510 / XS0224346592 / XS0224535483 / XS0247679573 / XS0252834576 / XS0252835110 / XS0254171191 / XS0257022714 / XS0262321986 / XS0272543900 / XS0282937985 / XS0288056913 / XS0288579260 / XS0289254509 / XS0289619529 / XS0290041960 / XS0290745180 / XS0291967296 / XS0299141332 / XS0300055547 / XS0307745744 / XS0326006540 / XS0345259435 / XS0348395814 / XS0362467150
are invited to participate in the purchase offer published by N+V AG.

Detailed information is available at: www.nv.ag or can be requested from N+V AG, Birmensdorferstrasse 123, 8036 Zurich, Switzerland, by e-mail: kontakt@nv.ag

(end)

Emitter: N+V AG
Birmensdorferstrasse 123
8003 Zürich
Switzerland
Contact Person: FB Corporate Actions
E-Mail: kontakt@nv.ag
Website: www.nv.ag
ISIN(s): XS0073472606 (Bond) XS0082350587 (Bond) XS0128857413 (Bond) XS0138439616 (Bond) XS0167792026 (Bond) XS0179304869 (Bond) XS0181712364 (Bond) XS0183944643 (Bond) XS0185590139 (Bond) XS0189741001 (Bond) XS0193035358 (Bond) XS0196298219 (Bond) XS0205185456 (Bond) XS0210414750 (Bond) XS0213899510 (Bond) XS0224346592 (Bond) XS0224535483 (Bond) XS0247679573 (Bond) XS0252834576 (Bond) XS0252835110 (Bond) XS0254171191 (Bond) XS0257022714 (Bond) XS0262321986 (Bond) XS0272543900 (Bond) XS0282937985 (Bond) XS0288056913 (Bond) XS0288579260 (Bond) XS0289254509 (Bond) XS0289619529 (Bond) XS0290041960 (Bond) XS0290745180 (Bond) XS0291967296 (Bond) XS0299141332 (Bond) XS0300055547 (Bond) XS0307745744 (Bond) XS0326006540 (Bond) XS0345259435 (Bond) XS0348395814 (Bond) XS0362467150 (Bond)
Stock Exchange(s): -
|