Ivry, June 21, 2022

Notice to holders of the € 199,999,947.63 bonds convertible into new shares and/or exchangeable for existing shares (OCEANE) due 2027 of Fnac Darty (ISIN FR0014002JO2) (the "Bonds")

Capitalised terms not otherwise defined in this notice shall have the meaning given to them in the terms and conditions of the Bonds (the "Conditions").

Holders of the Bonds are hereby notified that, as a result of the payment to Shareholders of a Dividend in an amount of €2.00 per Share on 23 June 20221, pursuant to Condition 2.6.B.10 the Conversion/Exchange Ratio shall be adjusted from 1.019 Share per each OCEANE to 1.070 Share per each OCEANE, with effect from 23 June 2022.

CONTACTS

Stéphanie Laval

stephanie.laval@fnacdarty.com

ANALYSTS/

+33 (0)1 55 21 52 53

INVESTORS

Marina Louvard

marina.louvard@fnacdarty.com

+33 (0)1 72 28 17 08

PRESS

Audrey Bouchard

audrey.bouchard@fnacdarty.com

+33 (0)1 55 21 59 25

1 In accordance with the decision of the Fnac Darty General Shareholders' Meeting of May 18, 2022.

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Fnac Darty SA published this content on 21 June 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 June 2022 16:04:03 UTC.