As previously communicated, Pioneer Public Properties II AS and
Pioneer Public Properties III AS are hereby exercising the call
options for the bonds issued by Pioneer Public Properties II AS
(ISIN NO0010674377) and Pioneer Public Properties III AS (ISIN
NO0010714124). The bond issued by Pioneer Public Properties II AS
will be called at 105.75% (plus accrued interests on the redeemed
amount) with settlement date on Tuesday 5 July 2016. The bond
issued by Pioneer Public Properties III AS will be called at
104.00% (plus accrued interests on the redeemed amount) with
settlement date on Thursday 4 August 2016.
For further information, please contact:
Runar Rønningen, CEO
+47 90690038
runar@pioneerproperty.no
Martin P. Hoff, CFO
+47 47214721
martin@pioneerproperty.no