The holders of OCEANES are informed of the period of early redemption at the option of their holders

As a result of the change of control of the Company occurred on June 9, 2017 (see news release of June 12, 2017), FUTUREN inform holders of OCEANEs that he is offered the opportunity to obtain the early redemption of all or part of their OCEANEs in accordance with the terms of the agreement to issue amended oceane bonds (1).

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The period of early redemption will be open from 6 July 2017 20 July 2017 at a price of 6.322 euros per OCEANE, plus the accrued interest in respect of the period elapsed between 1st July 2017 and the date of actual payment of the redemption price concerned.

The holders of OCEANEs who wish to obtain the early redemption of all or part of their OCEANEs must make the request no later than the last day of the period of early redemption specified above with the intermediary, with whom their OCEANEs are taken into account, that will forward in turn to the establishment in charge of the financial department of the oceane bonds FUTUREN, Société Générale Securities Services. It will then make an early redemption of the OCEANEs.

This period of early redemption of the OCEANEs will also be the subject of a notice published in the Bulletin des annonces légales obligatoires and in a Euronext notice.

(1) Section the issue contract of OCEANEs included in the annex to the note d’opération relating to the issuance and admission of shares with warrants attached to shares for which the prospectus has received the visa n°14-591 on 7 November 2014 the financial markets Authority.


FUTUREN is an independent producer of wind-generated electricity, which are present throughout the value chain in the wind power sector. The Group develops, builds and operates wind farms in four countries : Germany, France, Morocco and Italy. In total, the Group operates 732 MW for its own account and for the account of third parties.

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