News Archive

2024

2023

2022

2021

2020

2019

2018

2017

2016

Older

15.11.2019

Scheduled Payment on 15 December 2019

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 15 December 2019 and to postpone such payment of principal until the Scheduled payment on 15 June 2020 unless postponed further.

Read More
13.11.2019

Notice of partial conversion of bonds

LBI’s has on 24 October 2019 decided to initiate a partial conversion of EUR 89,635,400 of Bonds into new EUR 89,635,400 Class A Shares (equity) each of nominal value EUR 0.01 (the “Conversion”) according to authorization provided in Art. 6.2. and Art. 29 of the Company’s Articles of Association, and Art. 6.1.(a) of the Terms and Conditions of the Bonds (the “Conditions”).

Further to the above, the Board of Directors of the Issuer will, with reference to Article 6.2 of the Articles of Association and Condition 6.1(a) of the Conditions, increase the Issuer’s share capital by EUR 896,354, from EUR 11,356,884.04 to EUR  12,253,238.04 nominal value, by issuing 89,635,400 new Class A Shares each of a nominal value of EUR 0.01. The Conversion rate of the new shares shall be EUR 0.01 per share.

Read More
24.10.2019

LBI'S MANAGEMENT ACCOUNTS FOR Q3 2019

LBI’s Management Accounts for Q3 2019 and investor call presentation have been made available on LBI’s website under https://www.lbi.is/financial-info.

LBI will host an investor call to present and discuss the results on Tuesday 29 October 2019 at 14:00 (GMT) London and 10:00 New York time (EDT).

Please note that shareholders of LBI will need to register in advance to participate in the call by sending email to ir@lbi.is at the latest before 18:00 (GMT) London and 14:00 New York time (EDT) on Monday 28 October 2019.

Read More
25.07.2019

LBI'S MANAGEMENT ACCOUNTS FOR Q2 2019

LBI’s Management Accounts for Q2 2019 and investor call presentation have been made available on LBI’s website under https://www.lbi.is/financial-info.

LBI will host an investor call to present and discuss the results on Tuesday 30 July 2019 at 14:00 (GMT), 15:00 (BST) London and 10:00 New York time (EST).

Please note that shareholders of LBI will need to register in advance to participate in the call by sending email to ir@lbi.is at the latest before 18:00 (GMT), 19:00 (BST) London and 14:00 New York time (EST) on Monday 29 July 2019.

Read More
12.06.2019

SCHEDULED PAYMENT CONFIRMED TO BE €16,819,678

Pursuant to 9.1(c) of the Conditions, and in furtherance of the Payment Notice issued on the 7 June 2019, the Issuer hereby notifies the Noteholders that the final amount of Euro Equivalent Available Cash paid on the 17 June 2019 will be €16,819,678.

Read More
07.06.2019

SCHEDULED PAYMENT ESTIMATED TO BE €16.8 MILLION

Terms defined in this notice shall be constructed in accordance with the conditions set out in the Schedule 1 to the Trust Deed, dated March 23rd, 2016 and made between the Issuer, the Trustee and the U.S. Trustee (the “Conditions“) (as amended in a noteholder meeting on 28 November 2016).

Pursuant to the Condition 9.1(b) of the Conditions, the Issuer hereby notifies the Noteholders of a payment which will be applied in partial redemption of the Notes on the Payment Date of 17 June 2019. The estimated Euro Equivalent Available Cash for this payment is € 16,847,397.

Read More
23.05.2019

LBI'S MANAGEMENT ACCOUNTS FOR Q1 2019

LBI’s Management Accounts for Q1 2019 and investor call presentation have been made available on LBI’s website under https://www.lbi.is/financial-info.

LBI will host an investor call to present and discuss the results on Tuesday 28 May 2019 at 14:00 (GMT), 15:00 (BST) London and 10:00 New York time (EST).

Please note that shareholders of LBI will need to register in advance to participate in the call by sending email to ir@lbi.is at the latest before 18:00 (GMT), 19:00 (BST) London and 14:00 New York time (EST) on Monday 27 May 2019.

Read More
09.05.2019

Extraordinary general meeting (EGM) of LBI ehf. - 17 May 2019

The Extraordinary general meeting of LBI ehf., reg. no. 540291-2259, will be held at Ármúli 21 in Reykjavik, on 17 May 2019. The meeting will commence at 1.00 PM.

Read More
17.04.2019

THE PARIS COURT OF APPEAL CRIMINAL PROCEEDING

LBI will host investors calls to discuss the ongoing hearing. Shareholders of LBI who are interested to participate in the calls will need to register in advance to participate, at the latest before end of Friday 26 April 2019. 

Those shareholders of LBI who will register in the calls before the above time limit will also need to sign a NDA prior to attending the calls.

Read More
26.03.2019

ANNUAL GENERAL MEETING OF LBI EHF. - 10 APRIL 2019

The Annual General Meeting of LBI ehf., reg. no. 540291-2259, will be held at Hilton Reykjavik Nordica Hotel at Sudurlandsbraut 2 in Reykjavik, on 10 April 2019. The meeting will commence at 10 AM.

Read More
1 2