Claranova announces the redemption of the « ORNANE » bonds issued on 19 June 2018, in accordance with the terms of the contract. The bonds will be redeemed in cash on their maturity date of 1 July 2023.
As maturity date falls on a Saturday, and given the mechanics of financial flows required for the implementation of the redemption, the company is informing the beneficiaries that there may be a technical delay of up to 72 hours between the due date and the availability of the redeemed sums in their account.