02/09/2021
Ontex announces transactions in own shares
Ontex Group NV hereby announces, in accordance with applicable rules, that it has renewed the forward purchase agreements on 22 June.
29/06/2021
Ontex Group NV Announces Refinancing Transactions
Ontex Group NV announced today that it has priced its offering of €580 million in aggregate principal amount of 3.50% senior notes due 2026.
28/06/2021
Ontex Group NV Announces Disclosure of Additional Information in Connection with Current Refinancing of the Group’s Debt
Ontex announces today that, in connection with the current refinancing of the Group’s debt, it has disclosed certain additional business and financial information to shareholders of Ontex.
28/06/2021
Ontex Group NV Announces Offering of €580 Million Senior Notes
Ontex Group NV announces the launch of an offering of €580 million in aggregate principal amount of its euro-denominated fixed-rate senior notes due 2026.
26/06/2020
Ontex announces transactions in own shares
Ontex Group NV (“Ontex”) hereby announces, in accordance with applicable rules, that it has renewed the forward purchase agreements on 22 June 2020.
17/05/2019
Ontex announces transactions in own shares
Ontex Group NV (“Ontex”) hereby announces, in accordance with applicable rules, that it has acquired 63,377 of its own shares on 13 May 2019 as a result of the partial exercise of a forward purchase agreement.
10/12/2018
Ontex enters into a liquidity contract
Ontex Group NV (“Ontex”) today announced that it has entered into a liquidity contract with Rothschild Martin Maurel.
25/06/2018
Ontex announces transactions in own shares
Ontex Group NV (“Ontex”) hereby announces, in accordance with applicable rules, that it has acquired 173,218 of its own shares on 14 June 2018 as a result of the partial exercise of a forward purchase agreement.
23/06/2017
Ontex announces transactions in own shares
Ontex Group NV (“Ontex”) hereby announces, in accordance with applicable rules, that it has acquired 274,439 of its own shares on 22 June 2017 as a result of the partial exercise of a forward purchase agreement.
23/03/2017
Ontex announces to launch a capital increase through an accelerated bookbuilt process
Ontex Group NV (“Ontex”) announces today the launch of a capital increase of new ordinary shares, to be placed through an accelerated bookbuilt offering (“ABB Placement” for “New Shares”).
22/03/2017
Ontex announces the successful completion of the equity placement announced earlier today
Ontex Group NV (“Ontex”) is pleased to announce the successful placement of 7,486,110 new ordinary shares (the "New Shares") in an accelerated bookbuilt placement announced earlier today (the “ABB Placement”).
05/11/2015
Ontex announces the successful completion of the equity placement announced earlier today
Ontex is pleased to announce the successful placement of 4,083,332 new ordinary shares (the "New Shares") by way of an accelerated bookbuilt placement (the “Placement”).
05/11/2014
Ontex Group NV announces pricing of €250 million senior secured notes offering
Ontex Group NV (Euronext Brussels: ONTEX; “Ontex”), a leading manufacturer of branded and retailer brand hygienic disposable products across Europe, the Middle East and Africa, announced today that at the issue price of 100.00%.
03/11/2014
ONTEX GROUP NV announces launch of €250 million senior secured notes offering
We announce the launch of an offering of €250 million aggregate principal amount of its euro-denominated fixed rate notes due 2021 (the “Notes”)
14/07/2014
Redemption of Floating Rate Notes by ONTEX IV SA
ONTEX GROUP NV is pleased to announce its affiliate Ontex IV S.A., the issuer of €280,000,000 Senior Secured Floating Rate Notes due 2018 (the “Notes”), confirms that all conditions precedent referenced in the conditional notice of redemption dated June 13, 2014 have been satisfied and it will redeem all of its outstanding Notes.
21/03/2011
Ontex IV S.A. announces the launch of secured notes and senior secured notes offering
We announce the offering of €570 million aggregate principal amount of Senior Secured Notes due 2018 and €235 million aggregate principal amount of Senior Notes due 2019.