SPSN Swiss Prime Site AG

Swiss Prime Site successfully placed CHF 275 million convertible notes due 2030 at an interest rate of 1.625% per cent per annum

Swiss Prime Site AG / Key word(s): Bond/Real Estate
Swiss Prime Site successfully placed CHF 275 million convertible notes due 2030 at an interest rate of 1.625% per cent per annum

23.05.2023 / 15:45 CET/CEST


PRESS RELEASE

Zug, 23 May 2023

  • Fixed coupon of 1.625% per annum with a conversion price of CHF 85.16 representing a premium of  10% to the reference share price
  • Transaction volume increased from CHF 250 to CHF 275 million due to very strong investor demand
  • Proceeds to be used to refinance upcoming convertible debt maturity as well as its real estate portfolio in general 
  • Issuance reinforces Swiss Prime Site’s diversified and conservative funding strategy and further extends average debt maturity

Swiss Prime Site today raised financing with the issuance of CHF 275 million convertible loan notes (the «Convertible Loan Notes») via ELM B.V., a repackaging vehicle incorporated in the Netherlands. ELM in turn issues its own 7-year exchangeable notes (the «Exchangeable Notes» and together with the Convertible Loan Notes the «Notes») secured by the Convertible Loan Notes. These Exchangeable Notes have been successfully placed to investors in and outside Switzerland and pricing of both Notes has been determined based on an accelerated bookbuilding process today. On the back of strong investor demand, with multiple-times oversubscription, the issuance was upsized from the initial amount of CHF 250 million to CHF 275 million.

The Notes will carry a fixed coupon of 1.625% per annum, payable annually in arrear. The Reference Share Price is CHF 77.42, which is the volume weighted average price of the Shares on the SIX Swiss Exchange between launch and pricing on 23 May 2023. The initial conversion price of the Notes has been set at CHF 85.16, representing a 10% premium above the Reference Share Price.

Through this new equity-linked financing, Swiss Prime Site reinforces its diversified and conservative funding strategy using the wide range of funding instruments available, extends its average debt maturity and raises financing at attractive terms. The net proceeds received by Swiss Prime Site will be used for refinancing the expiring convertible bond and for real estate projects that are defined in accordance with its Green Finance Framework. The Exchangeable Notes will not be classified as green instruments.

The settlement and payment date of the Notes is expected to be on or around 31 May 2023.

If you have any questions, please contact:
 
Investor Relations, Florian Hauber
Tel. 4,
 
Media Relations, Mladen Tomic
Tel. 2,



End of Media Release


Language: English
Company: Swiss Prime Site AG
Alpenstrasse 15
6300 Zug
Switzerland
Phone: +41 (0)58 317 17 17
E-mail: s
Internet:
ISIN: CH0008038389
Listed: SIX Swiss Exchange
EQS News ID: 1639871

 
End of News EQS News Service

1639871  23.05.2023 CET/CEST

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EN
23/05/2023

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