2019-02-21 19:25:00 CET

2019-02-21 19:25:12 CET


REGULATED INFORMATION

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Pöyry - Other information disclosed according to the rules of the Exchange

Pöyry PLC: Pöyry will redeem its EUR 30 million hybrid capital securities


Pöyry PLC          Stock Exchange Release 21 February 2019 at 20:25 (EET)

Pöyry will redeem its EUR 30 million hybrid capital securities

Pöyry PLC ("Pöyry") announces that it will redeem the EUR 30 million capital
securities (ISIN: FI4000180401) issued on 25 November 2015. The redemption will
be made on 25 March 2019 in accordance with Clause 7.7 (Change of Control) of
the terms and conditions of the capital securities for the amount equal to 103
per cent of the principal amount, together with any accrued interest.

ÅF AB (publ) ("ÅF") commenced a voluntary recommended public cash tender offer
to purchase all issued and outstanding shares in Pöyry (the "Tender Offer") on
20 December 2018. ÅF declared the Tender Offer unconditional on 7 February 2019
and will complete the Tender Offer in accordance with its terms and conditions.
As announced today, ÅF has informed Pöyry on 21 February that ÅF holds more than
nine-tenths (9/10) of the issued and outstanding shares and voting rights in
Pöyry and, therefore, pursuant to Clause 7.7 of the terms and conditions of the
capital securities, a Change of Control has occurred.

This notice of redemption is irrevocable and is given to the calculation agent
and holders of the capital securities in accordance with the terms and
conditions of the capital securities.

The capital securities are debt instruments, which are subordinated to the
company's unsubordinated debt obligations and treated as equity in the
consolidated financial statements under IFRS. The capital securities do not
confer on their holders shareholders' rights, such as the right to vote at
shareholder meetings, and do not dilute the holdings of the current
shareholders.

PÖYRY PLC

Additional Information:
Juuso Pajunen, CFO
Tel. +358 10 33 26632


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