AF Air France-KLM SA

OCEANE 2026 Early Redemption by Air France-KLM

OCEANE 2026 Early Redemption by Air France-KLM

THIS PRESS RELEASE MAY NOT BE PUBLISHED, DISTRIBUTED OR TRANSMITTED, DIRECTLY OR INDIRECTLY, IN THE UNITED STATES OF AMERICA, AUSTRALIA, CANADA, JAPAN AND SOUTH AFRICA OR IN ANY OTHER JURISDICTION WHERE THE OFFER OR SALE OF SECURITIES WOULD CONSTITUTE A VIOLATION OF ANY APPLICABLE LAW.

THIS PRESS RELEASE IS FOR INFORMATION PURPOSE ONLY AND DOES NOT CONSTITUTE AN OFFER TO SELL OR INVITATION TO PURCHASE ANY SECURITIES.

THIS PRESS RELEASE DOES NOT CONSTITUTE AN OFFER OF SECURITIES IN THE UNITED STATES OF AMERICA. THE BONDS (AND THE UNDERLYING SHARES) MAY NOT BE OFFERED OR SOLD IN THE UNITED STATES OF AMERICA WITHOUT REGISTRATION OR AN EXEMPTION FROM REGISTRATION UNDER THE AMENDED U.S. SECURITIES ACT (1933). AIR FRANCE - KLM DOES NOT INTEND TO REGISTER THE OFFERING EITHER IN WHOLE OR PARTIALLY IN THE UNITED STATES OF AMERICA OR TO MAKE ANY PUBLIC OFFERING IN THE UNITED STATES OF AMERICA.

Notice to holders of Air France-KLM's bonds convertible into and/or exchangeable for new or existing shares maturing on March 25, 2026 (ISIN FR0013410628) (the "OCEANE 2026")

OCEANE 2026 Early Redemption by Air France - KLM

Paris, April 8th, 2024

Air France - KLM (the "Company") hereby informs OCEANE 2026 holders that, following the exercise of the put option by bondholders in accordance with the provisions of the OCEANE 2026’s Terms and Conditions (the "Terms and Conditions"), the total number of outstanding OCEANE 2026 represents, to date, less than 15% of the initially issued OCEANE 2026.

Consequently, the Company informs the holders of the outstanding OCEANE 2026 that it will proceed with the early redemption of the said OCEANE 2026 under the conditions set out in Article 1.9.1.3, § 2 "Early redemption at the Company’s option" of the Terms and Conditions, for cancellation in accordance with the applicable law.

The early redemption date for the OCEANE 2026 has been set at May 10, 2024 (the "Early Redemption Date"), at a price per OCEANE 2026 equal to par value (i.e., 17.92 euros) with accrued interest of 0.00282 euros (the "Redemption Price").

OCEANE 2026 holders are reminded that they may exercise their right to convert their bonds into new and/or existing shares of the Company until the 7th business day prior to the Early Redemption Date, i.e., April 26, 2024, pursuant to the provisions of Article 2.3 of the Terms and Conditions. In accordance with and subject to the provisions of the Terms and Conditions, in order to exercise their right to conversion, OCEANE 2026 holders must submit a request to their financial intermediaries, which shall then instruct the centralizing agent, Société Générale Securities Services.

OCEANE 2026 holders who have not validly exercised their right to conversion prior to the Early Redemption Date will be redeemed as per the above-mentioned conditions.

It is also specified that, in accordance with Article 2.6 of the Terms and Conditions, the conversion/exchange ratio of the OCEANE 2026 has been adjusted following several transactions relating to the Company's share capital. As a result, one OCEANE 2026 currently entitles its holder to 0.178 ordinary share in the Company (ISIN FR001400J770).

Investor Relations                                                        

Michiel Klinkers                        Marouane Mami                                                            

        

Website:

 

Attachment



EN
08/04/2024

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on Air France-KLM SA

 PRESS RELEASE

Press release - voting rights at 31 july 2025

Press release - voting rights at 31 july 2025 Declaration of number of voting rights Information relating to the total number of voting rights and shares as required by L.233-8 II of the code of commerce and article 223-16 of the general rules of the French market authority (AMF). DateNumber of sharesTotal number of voting rights 07/31/2025262,769,869Theoretical number of voting rights1:370,048,441 1 The theoretical voting rights include all voting rights, including double voting rights. Attachment

 PRESS RELEASE

Communiqué de presse - Droits de vote au 31 juillet

Communiqué de presse - Droits de vote au 31 juillet                  Déclaration du nombre de droits de vote                  Informations relatives au nombre total de droits de vote et d’actions prévues par l’article L.233-8 II du code du commerce et l’article 223-16 du règlement général de l’Autorité des marchés financiers. Date Nombre d’actions Nombre total de droits de vote    31/07/2025262 769 869  Nombre de droits de vote théoriques1 : 370 048 441         1 Les droits de vote théoriques intègrent l’ensemble des droits de vote, y compris les droits de vote doubles. Pièce jo...

Si Yong Ng
  • Si Yong Ng

Air France-KLM - Earnings Flash - Q2 FY 2025 Results - Lucror Analytic...

Air France-KLM has released strong Q2/25 numbers, with EBITDA growth and EBITDA margin improvement. Revenues advanced 6.2% y-o-y, while EBITDA jumped 25.7%. FOCF (post-leases) improved, thanks to the better earnings and lower capex. Reported net leverage was down 0.2x q-o-q at 1.5x. Liquidity was comfortable. We anticipate a solid H2/25 performance, as the top line benefits from higher unit revenues and increased capacity. Profitability will be boosted by the stronger unit revenues and lower...

 PRESS RELEASE

Implementation of a New Liquidity Contract

Implementation of a New Liquidity Contract Paris, August 1st, 2025 Implementation of a New Liquidity Contract Air France-KLM announces the implementation of a liquidity contract for its ordinary shares (ISIN Code: FR001400J770) with Rothschild Martin Maurel, within the framework of the regulations in force, and in particular AMF Decision no. 2021-01 of 22 June 2021. The purpose of this agreement is for Rothschild Martin Maurel to act as a market maker for Air France-KLM shares on the regulated market of Euronext Paris to promote the liquidity of transactions and the regularity of the lis...

 PRESS RELEASE

Mise en œuvre d’un nouveau contrat de liquidité

Mise en œuvre d’un nouveau contrat de liquidité Paris, le 1 aout 2025 Mise en œuvre d’un nouveau contrat de liquidité Air France - KLM annonce la mise en place d'un contrat de liquidité portant sur ses actions ordinaires (Code ISIN : FR001400J770) avec Rothschild Martin Maurel, dans le cadre de la réglementation en vigueur, et en particulier de la Décision AMF n°2021-01 du 22 juin 2021. Ce contrat a pour objet l'animation par Rothschild Martin Maurel des actions Air France-KLM sur le marché réglementé d’Euronext à Paris afin de favoriser la liquidité des transactions et la régularité de l...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch