03.06.2025

SCHEDULED PAYMENT ON 13 JUNE 2025

Pursuant to 9.1 (d) of the Conditions LBI hereby confirms, as the Euro Equivalent Available Cash, as determined on a Determination Date in respect of a Payment Date, is lower than the Distribution Threshold, LBI has decided not to make a payment of principal to the Bondholders on 13 June 2025 and to postpone such payment of principal until the scheduled Payment Date on 15 December 2025 unless postponed further.

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